TY - RPRT A1 - McLachlan, Campbell T1 - The assault on international adjudication and the limits of withdrawal T2 - KFG Working Paper Series N2 - International adjudication is currently under assault, encouraging a number of States to withdraw, or to consider withdrawing, from treaties providing for international dispute settlement. This Working Paper argues that the act of treaty withdrawal is not merely as the unilateral executive exercise of the individual sovereign prerogative of a State. International law places checks upon the exercise of withdrawal, recognising that it is an act that of its nature affects the interests of other States parties, which have a collective interest in constraining withdrawal. National courts have a complementary function in restraining unilateral withdrawal in order to support the domestic constitution. The arguments advanced against international adjudication in the name of popular democracy at the national level can serve as a cloak for the exercise of executive power unrestrained by law. The submission by States of their disputes to peaceful settlement through international adjudication is central, not incidental, to the successful operation of the international legal system. T3 - KFG Working Paper Series - 28 Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-426855 IS - 28 ER - TY - THES A1 - Gawron, Marian T1 - Towards automated advanced vulnerability analysis N2 - The identification of vulnerabilities in IT infrastructures is a crucial problem in enhancing the security, because many incidents resulted from already known vulnerabilities, which could have been resolved. Thus, the initial identification of vulnerabilities has to be used to directly resolve the related weaknesses and mitigate attack possibilities. The nature of vulnerability information requires a collection and normalization of the information prior to any utilization, because the information is widely distributed in different sources with their unique formats. Therefore, the comprehensive vulnerability model was defined and different sources have been integrated into one database. Furthermore, different analytic approaches have been designed and implemented into the HPI-VDB, which directly benefit from the comprehensive vulnerability model and especially from the logical preconditions and postconditions. Firstly, different approaches to detect vulnerabilities in both IT systems of average users and corporate networks of large companies are presented. Therefore, the approaches mainly focus on the identification of all installed applications, since it is a fundamental step in the detection. This detection is realized differently depending on the target use-case. Thus, the experience of the user, as well as the layout and possibilities of the target infrastructure are considered. Furthermore, a passive lightweight detection approach was invented that utilizes existing information on corporate networks to identify applications. In addition, two different approaches to represent the results using attack graphs are illustrated in the comparison between traditional attack graphs and a simplistic graph version, which was integrated into the database as well. The implementation of those use-cases for vulnerability information especially considers the usability. Beside the analytic approaches, the high data quality of the vulnerability information had to be achieved and guaranteed. The different problems of receiving incomplete or unreliable information for the vulnerabilities are addressed with different correction mechanisms. The corrections can be carried out with correlation or lookup mechanisms in reliable sources or identifier dictionaries. Furthermore, a machine learning based verification procedure was presented that allows an automatic derivation of important characteristics from the textual description of the vulnerabilities. N2 - Die Erkennung von Schwachstellen ist ein schwerwiegendes Problem bei der Absicherung von modernen IT-Systemen. Mehrere Sicherheitsvorfälle hätten durch die vorherige Erkennung von Schwachstellen verhindert werden können, da in diesen Vorfällen bereits bekannte Schwachstellen ausgenutzt wurden. Der Stellenwert der Sicherheit von IT Systemen nimmt immer weiter zu, was auch mit der Aufmerksamkeit, die seit kurzem auf die Sicherheit gelegt wird, zu begründen ist. Somit nimmt auch der Stellenwert einer Schwachstellenanalyse der IT Systeme immer mehr zu, da hierdurch potenzielle Angriffe verhindert und Sicherheitslücken geschlossen werden können. Die Informationen über Sicherheitslücken liegen in verschiedenen Quellen in unterschiedlichen Formaten vor. Aus diesem Grund wird eine Normalisierungsmethode benötigt, um die verschiedenen Informationen in ein einheitliches Format zu bringen. Das damit erzeugte Datenmodell wird in der HPI-VDB gespeichert, in die auch darauf aufbauende Analyseansätze integriert wurden. Diese Analysemethoden profitieren direkt von den Eigenschaften des Datenmodells, das maschinenlesbare Vor- und Nachbedingungen enthält. Zunächst wurden verschiedene Methoden zur Erkennung von Schwachstellen in IT Systemen von durchschnittlichen Nutzern und auch in Systemen von großen Firmen entwickelt. Hierbei wird der Identifikation der installierten Programme die größte Aufmerksamkeit beigemessen, da es der grundlegende Bestandteil der Erkennung von Schwachstellen ist. Für die Ansätze wird weiterhin die Erfahrung des Nutzers und die Eigenschaften der Zielumgebung berücksichtigt. Zusätzlich wurden zwei weitere Ansätze zur Repräsentation der Ergebnisse integriert. Hierfür wurden traditionelle Angriffsgraphen mit einer vereinfachten Variante verglichen, die auch in die Datenbank integriert wurde. Des Weiteren spielt die Datenqualität eine wichtige Rolle, da die Effizienz der Analysemethoden von der Qualität der Informationen abhängt. Deshalb wurden Probleme wie Unvollständigkeit und Unzuverlässigkeit der Informationen mit verschiedenen Korrekturansätzen bewältigt. Diese Korrekturen werden mithilfe von Korrelationen und Maschinellem Lernen bewerkstelligt, wobei die automatische Ausführbarkeit eine grundlegende Anforderung darstellt. KW - IT-security KW - vulnerability KW - analysis KW - IT-Sicherheit KW - Schwachstelle KW - Analyse Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-426352 ER - TY - THES A1 - Kegelmann, Lukas T1 - Advancing charge selective contacts for efficient monolithic perovskite-silicon tandem solar cells T1 - Entwicklung Ladungsselektiver Kontakte für Effiziente Monolithische Perowskit-Silizium Tandem-Solarzellen N2 - Hybrid organic-inorganic perovskites are one of the most promising material classes for photovoltaic energy conversion. In solar cells, the perovskite absorber is sandwiched between n- and p-type contact layers which selectively transport electrons and holes to the cell’s cathode and anode, respectively. This thesis aims to advance contact layers in perovskite solar cells and unravel the impact of interface and contact properties on the device performance. Further, the contact materials are applied in monolithic perovskite-silicon heterojunction (SHJ) tandem solar cells, which can overcome the single junction efficiency limits and attract increasing attention. Therefore, all contact layers must be highly transparent to foster light harvesting in the tandem solar cell design. Besides, the SHJ device restricts processing temperatures for the selective contacts to below 200°C. A comparative study of various electron selective contact materials, all processed below 180°C, in n-i-p type perovskite solar cells highlights that selective contacts and their interfaces to the absorber govern the overall device performance. Combining fullerenes and metal-oxides in a TiO2/PC60BM (phenyl-C60-butyric acid methyl ester) double-layer contact allows to merge good charge extraction with minimized interface recombination. The layer sequence thereby achieved high stabilized solar cell performances up to 18.0% and negligible current-voltage hysteresis, an otherwise pronounced phenomenon in this device design. Double-layer structures are therefore emphasized as a general concept to establish efficient and highly selective contacts. Based on this success, the concept to combine desired properties of different materials is transferred to the p-type contact. Here, a mixture of the small molecule Spiro-OMeTAD [2,2’,7,7’-tetrakis(N,N-di-p-methoxyphenylamine)-9,9’-spirobifluoren] and the doped polymer PEDOT [poly(3,4-ethylenedioxythiophene)] is presented as a novel hole selective contact. PEDOT thereby remarkably suppresses charge recombination at the perovskite surface, allowing an increase of quasi-Fermi level splitting in the absorber. Further, the addition of Spiro-OMeTAD into the PEDOT layer is shown to enhance charge extraction at the interface and allow high efficiencies up to 16.8%. Finally, the knowledge on contact properties is applied to monolithic perovskite-SHJ tandem solar cells. The main goal is to optimize the top contact stack of doped Spiro-OMeTAD/molybdenum oxide(MoOx)/ITO towards higher transparency by two different routes. First, fine-tuning of the ITO deposition to mitigate chemical reduction of MoOx and increase the transmittance of MoOx/ITO stacks by 25%. Second, replacing Spiro-OMeTAD with the alternative hole transport materials PEDOT/Spiro-OMeTAD mixtures, CuSCN or PTAA [poly(triaryl amine)]. Experimental results determine layer thickness constrains and validate optical simulations, which subsequently allow to realistically estimate the respective tandem device performances. As a result, PTAA represents the most promising replacement for Spiro-OMeTAD, with a projected increase of the optimum tandem device efficiency for the herein used architecture by 2.9% relative to 26.5% absolute. The results also reveal general guidelines for further performance gains of the technology. N2 - Hybride, organisch-anorganische Perowskite gelten als eine der vielversprechendsten Materialklassen für die photovoltaische Energieumwandlung. Dazu werden Perowskit-Absorber in Solarzellen zwischen n- und p-Typ Kontaktschichten angeordnet, die Elektronen oder Löcher selektiv zur Kathode bzw. Anode der Zelle transportieren. Ziel dieser Arbeit ist es, die ladungsselektiven Transportschichten in Perowskit-Solarzellen zu verbessern und Einflüsse der Grenzflächen- und Kontakteigenschaften auf die Zelleffizienz herauszustellen. Darüber hinaus werden die selektiven Schichten in monolithischen Perowskit-Silizium-Heterokontakt (SHK) Tandem-Solarzellen eingesetzt. Diese können höhere Wirkungsgrade als Einfachsolarzellen erzielen und erfahren zunehmende Aufmerksamkeit aus der Forschung. Hierfür müssen alle Kontaktschichten hochtransparent sein, um eine möglichst effiziente Lichtausnutzung im Tandem-Solarzellen-Design zu erzielen. Des Weiteren limitiert die SHK-Solarzelle die höchst mögliche Temperatur zur Abscheidung der selektiven Kontakte auf 200°C. In einer Vergleichsstudie werden deshalb zunächst verschiedene elektronenselektive Kontaktmaterialien, die alle unter 180°C prozessiert werden, in n-i-p-Typ Perowskit-Solarzellen eingesetzt. Es zeigt sich hierbei, wie wesentlich die selektiven Kontakte und ihre Grenzflächen zum Absorber die Effizienz der Solarzellen bestimmen. Eine Kombination aus Fulleren und Metalloxid in einem TiO2/PC60BM (Phenyl-C60-Buttersäuremethylester) Doppelschichtkontakt ermöglicht dabei eine besonders gute Ladungsextraktion und stark reduzierte Grenzflächenrekombination. Die Materialzusammenstellung erreicht in der Studie hohe stabilisierte Solarzellenwirkungsgrade bis zu 18,0% und eine vernachlässigbare Strom-Spannungs-Hysterese, ein üblicherweise ausgeprägtes Phänomen in diesem Zellaufbau. Das Ergebnis stellt Doppelschicht-Strukturen als generelles Konzept zur Herstellung effizienter und hochselektiver Kontakte heraus. Basierend auf diesem Erfolg wird das Konzept, Eigenschaften verschiedener Materialien miteinander zu kombinieren, anschließend auf den p-Typ Kontakt übertragen. Dazu wird ein neuartiger lochselektiver Kontakt vorgestellt, bestehend aus einer Mischung des kleinen Moleküls Spiro-OMeTAD [2,2‘7,7‘-tetrakis(N,N-di-p-methoxyphenylamin)-9,9‘-spirobifluoren] und dem dotierten Polymer PEDOT [poly(3,4-ethylendioxythiophen)]. PEDOT unterdrückt dabei bemerkenswerter Weiße die Ladungsträgerrekombination an der Perowskit-Grenzfläche, wodurch eine Erhöhung der Quasi-Fermi-Niveau-Aufspaltung im Absorber erzielt wird. Weiterhin wird gezeigt, dass die Zugabe von Spiro-OMeTAD in die PEDOT-Schicht die Lochextraktion an der Grenzfläche verbessert und folglich hohe Solarzellenwirkungsgrade von bis zu 16,8% ermöglicht. Schließlich wird das gewonnene Wissen über die Bedeutung der Kontakt- und Grenzflächeneigenschaften auf monolithische Perowskit-SHK-Tandemsolarzellen angewandt. Das Hauptziel dabei ist die Optimierung des oberen Kontaktstapels, bestehend aus dotiertem Spiro-OMeTAD/Molybdän Oxid (MoOx)/ITO, hin zu verbesserter Transparenz. Zwei verschiedene Ansätze werden hierzu verfolgt. Erstens, durch Feinanpassung der ITO-Abscheidung kann eine chemische Reduktion von MoOx verringert und die Transmission von MoOx/ITO-Schichtstapeln um 25% erhöht werden. Zweitens: Durch Ersetzen des Spiro-OMeTAD mit alternativen, transparenteren Lochtransportmaterialien sollen parasitäre Absorptionsverluste vermieden werden. Als potentielle Lochkontakte werden dabei PEDOT/Spiro-OMeTAD-Mischungen, CuSCN und PTAA [Poly(triarylamin)] analysiert. Experimentelle Untersuchungen liefern optimierte Dicken der Lochkontakt und MoOx Schichten und dienen der Validierung optischer Simulationen der Schichtstapel. Dies erlaubt im Folgenden eine realistische Abschätzung der maximal erreichbaren Tandemsolarzelleneffizienzen. Dabei stellt PTAA den vielversprechendsten Ersatz für Spiro-OMeTAD dar, mit einer prognostizierten Erhöhung des erreichbaren Tandem-Solarzellenwirkungsgrad um 2,9% relativ auf 26,5% absolut. Die Ergebnisse stellen zudem einen Leitfaden zur weiteren Effizienzsteigerung der Tandemsolarzellen-Technologie dar. KW - perovskite KW - silicon KW - tandem solar cell KW - interface engineering KW - contact layers KW - Perowskit KW - Silizium KW - Tandem-Solarzelle KW - Interface-Engineering KW - Kontaktschichten Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-426428 ER - TY - THES A1 - Fuchs, Matthias T1 - Soil organic carbon and nitrogen pools in thermokarst-affected permafrost terrain Y1 - 2019 ER - TY - THES A1 - Beamish, Alison Leslie T1 - Hyperspectral remote sensing of the spatial and temporal heterogeneity of low Arctic vegetation T1 - Hyperspektrale Fernerkundung der räumlichen und zeitlichen Heterogenität niedriger arktischer Vegetation BT - the role of phenology, vegetation colour, and intrinsic ecosystem components BT - die Rolle von Phänologie, Vegetationsfarbe und intrinsischer Ökosystemkomponenten N2 - Arctic tundra ecosystems are experiencing warming twice the global average and Arctic vegetation is responding in complex and heterogeneous ways. Shifting productivity, growth, species composition, and phenology at local and regional scales have implications for ecosystem functioning as well as the global carbon and energy balance. Optical remote sensing is an effective tool for monitoring ecosystem functioning in this remote biome. However, limited field-based spectral characterization of the spatial and temporal heterogeneity limits the accuracy of quantitative optical remote sensing at landscape scales. To address this research gap and support current and future satellite missions, three central research questions were posed: • Does canopy-level spectral variability differ between dominant low Arctic vegetation communities and does this variability change between major phenological phases? • How does canopy-level vegetation colour images recorded with high and low spectral resolution devices relate to phenological changes in leaf-level photosynthetic pigment concentrations? • How does spatial aggregation of high spectral resolution data from the ground to satellite scale influence low Arctic tundra vegetation signatures and thereby what is the potential of upcoming hyperspectral spaceborne systems for low Arctic vegetation characterization? To answer these questions a unique and detailed database was assembled. Field-based canopy-level spectral reflectance measurements, nadir digital photographs, and photosynthetic pigment concentrations of dominant low Arctic vegetation communities were acquired at three major phenological phases representing early, peak and late season. Data were collected in 2015 and 2016 in the Toolik Lake Research Natural Area located in north central Alaska on the North Slope of the Brooks Range. In addition to field data an aerial AISA hyperspectral image was acquired in the late season of 2016. Simulations of broadband Sentinel-2 and hyperspectral Environmental and Mapping Analysis Program (EnMAP) satellite reflectance spectra from ground-based reflectance spectra as well as simulations of EnMAP imagery from aerial hyperspectral imagery were also obtained. Results showed that canopy-level spectral variability within and between vegetation communities differed by phenological phase. The late season was identified as the most discriminative for identifying many dominant vegetation communities using both ground-based and simulated hyperspectral reflectance spectra. This was due to an overall reduction in spectral variability and comparable or greater differences in spectral reflectance between vegetation communities in the visible near infrared spectrum. Red, green, and blue (RGB) indices extracted from nadir digital photographs and pigment-driven vegetation indices extracted from ground-based spectral measurements showed strong significant relationships. RGB indices also showed moderate relationships with chlorophyll and carotenoid pigment concentrations. The observed relationships with the broadband RGB channels of the digital camera indicate that vegetation colour strongly influences the response of pigment-driven spectral indices and digital cameras can track the seasonal development and degradation of photosynthetic pigments. Spatial aggregation of hyperspectral data from the ground to airborne, to simulated satel-lite scale was influenced by non-photosynthetic components as demonstrated by the distinct shift of the red edge to shorter wavelengths. Correspondence between spectral reflectance at the three scales was highest in the red spectrum and lowest in the near infra-red. By artificially mixing litter spectra at different proportions to ground-based spectra, correspondence with aerial and satellite spectra increased. Greater proportions of litter were required to achieve correspondence at the satellite scale. Overall this thesis found that integrating multiple temporal, spectral, and spatial data is necessary to monitor the complexity and heterogeneity of Arctic tundra ecosystems. The identification of spectrally similar vegetation communities can be optimized using non-peak season hyperspectral data leading to more detailed identification of vegetation communities. The results also highlight the power of vegetation colour to link ground-based and satellite data. Finally, a detailed characterization non-photosynthetic ecosystem components is crucial for accurate interpretation of vegetation signals at landscape scales. N2 - Die arktische Erwärmung beeinflusst Produktivität, Wachstums, Artenzusammensetzung, Phänologie und den Reproduktionserfolg arktischer Vegetation, mit Auswirkungen auf die Ökosystemfunktionen sowie auf den globalen Kohlenstoff- und Energiehaushalt. Feldbasierte Messungen und spektrale Charakterisierungen der räumlichen und zeitlichen Heterogenität arktischer Vegetationsgemeinschaften sind limitiert und die Genauigkeit fernerkundlicher Methoden im Landschaftsmaßstab eingeschränkt. Um diese Forschungslücke zu schließen und aktuelle und zukünftige Satellitenmissionen zu unterstützen, wurden drei zentrale Forschungsfragen entwickelt: 1) Wie unterscheidet sich die spektrale Variabilität des Kronendaches zwischen dominanten Vegetationsgemeinschaften der niederen Arktis und wie verändert sich diese Variabilität zwischen den wichtigsten phänologischen Phasen? 2) Wie hängen Aufnahmen der Vegetationsfarbe des Kronendaches von hoch und niedrig auflösenden Geräten mit phänologischen Veränderungen des photosynthetischen Pigmentgehalts auf Blattebene zusammen? 3) Wie beeinflusst die räumliche Aggregation von Daten mit hoher spektraler Auflösung von der Boden- bis zur Satelliten-Skala die arktischen Vegetationssignale der Tundra und welches Potenzial haben zukünftige hyperspektraler Satellitensysteme für die arktische Vegetationscharakterisierung? Zur Beantwortung dieser Fragen wurde eine detaillierte Datenbank aus feldbasierten Daten erstellt und mit hyperspektralen Luftbildern sowie multispektralen Sentinel-2 und simulierten hyperspektralen EnMAP Satellitendaten verglichen. Die Ergebnisse zeigten, dass die Spätsai-son am besten geeignet ist um dominante Vegetationsgemeinschaften mit Hilfe von hyper-spektralen Daten zu identifizieren. Ebenfalls konnte gezeigt werden, dass die mit handelsüb-lichen Digitalkameras aufgenommene Vegetationsfarbe pigmentgesteuerte Spektralindizes stark beeinflusst und den Verlauf von photosynthetischen Pigmenten nachverfolgen kann. Die räumliche Aggregation hyperspektraler Daten von der Boden- über die Luft- zur Satelli-tenskala wurde durch nicht-photosynthetische Komponenten beeinflusst und die spektralen Reflexionsvermögen der drei Skalen stimmten im roten Spektrum am höchsten und im nahen Infrarotbereich am niedrigsten überein. Die vorliegende Arbeit zeigt, dass die Integration zeitlicher, spektraler und räumlicher Daten notwendig ist, um Komplexität und Heterogenität arktischer Vegetationsreaktionen in Reaktion auf klimatische Veränderungen zu überwachen. KW - hyperspectral remote sensing KW - Arctic tundra KW - vegetation KW - imaging spectroscopy KW - hyperspektral Fernerkundung KW - arktische Tundra KW - Vegetation KW - Spektroskopie Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-425922 ER - TY - GEN A1 - Perkins, Daniel M. A1 - Perna, Andrea A1 - Adrian, Rita A1 - Cermeño, Pedro A1 - Gaedke, Ursula A1 - Huete-Ortega, Maria A1 - White, Ethan P. A1 - Yvon-Durocher, Gabriel T1 - Energetic equivalence underpins the size structure of tree and phytoplankton communities T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - The size structure of autotroph communities – the relative abundance of small vs. large individuals – shapes the functioning of ecosystems. Whether common mechanisms underpin the size structure of unicellular and multicellular autotrophs is, however, unknown. Using a global data compilation, we show that individual body masses in tree and phytoplankton communities follow power-law distributions and that the average exponents of these individual size distributions (ISD) differ. Phytoplankton communities are characterized by an average ISD exponent consistent with three-quarter-power scaling of metabolism with body mass and equivalence in energy use among mass classes. Tree communities deviate from this pattern in a manner consistent with equivalence in energy use among diameter size classes. Our findings suggest that whilst universal metabolic constraints ultimately underlie the emergent size structure of autotroph communities, divergent aspects of body size (volumetric vs. linear dimensions) shape the ecological outcome of metabolic scaling in forest vs. pelagic ecosystems. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 684 KW - general quantitative theory KW - cell-size KW - forest structure KW - scaling relationships KW - marine-phytoplankton KW - metabolic ecology KW - distributions KW - abundance KW - biomass KW - allometry Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-425695 SN - 1866-8372 IS - 684 ER - TY - THES A1 - Pohlenz, Julia T1 - Structural insights into sodium-rich silicate - carbonate glasses and melts T1 - Strukturelle Eigenschaften von natriumreichen silikatisch-karbonatischen Gläsern und Schmelzen mittels in-situ XAFS an Spurenelementen und Molekular Dynamik BT - a combined study of trace element in-situ XAFS and Molecular Dynamics N2 - Carbonate-rich silicate and carbonate melts play a crucial role in deep Earth magmatic processes and their melt structure is a key parameter, as it controls physical and chemical properties. Carbonate-rich melts can be strongly enriched in geochemically important trace elements. The structural incorporation mechanisms of these elements are difficult to study because such melts generally cannot be quenched to glasses, which are usually employed for structural investigations. This thesis investigates the influence of CO2 on the local environments of trace elements contained in silicate glasses with variable CO2 concentrations as well as in silicate and carbonate melts. The compositions studied include sodium-rich peralkaline silicate melts and glasses and carbonate melts similar to those occurring naturally at Oldoinyo Lengai volcano, Tanzania. The local environments of the three elements yttrium (Y), lanthanum (La) and strontium (Sr) were investigated in synthesized glasses and melts using X-ray absorption fine structure (XAFS) spectroscopy. Especially extended X-ray absorption fine structure spectroscopy (EXAFS) provides element specific information on local structure, such as bond lengths, coordination numbers and the degree of disorder. To cope with the enhanced structural disorder present in glasses and melts, EXAFS analysis was based on fitting approaches using an asymmetric distribution function as well as a correlation model according to bond valence theory. Firstly, silicate glasses quenched from high pressure/temperature melts with up to 7.6 wt % CO2 were investigated. In strongly and extremely peralkaline glasses the local structure of Y is unaffected by the CO2 content (with oxygen bond lengths of ~ 2.29 Å). Contrary, the bond lengths for Sr-O and La-O increase with increasing CO2 content in the strongly peralkaline glasses from ~ 2.53 to ~ 2.57 Å and from ~ 2.52 to ~ 2.54 Å, respectively, while they remain constant in extremely peralkaline glasses (at ~ 2.55 Å and 2.54 Å, respectively). Furthermore, silicate and unquenchable carbonate melts were investigated in-situ at high pressure/temperature conditions (2.2 to 2.6 GPa, 1200 to 1500 °C) using a Paris-Edinburgh press. A novel design of the pressure medium assembly for this press was developed, which features increased mechanical stability as well as enhanced transmittance at relevant energies to allow for low content element EXAFS in transmission. Compared to glasses the bond lengths of Y-O, La-O and Sr-O are elongated by up to + 3 % in the melt and exhibit higher asymmetric pair distributions. For all investigated silicate melt compositions Y-O bond lengths were found constant at ~ 2.37 Å, while in the carbonate melt the Y-O length increases slightly to 2.41 Å. The La-O bond lengths in turn, increase systematically over the whole silicate – carbonate melt joint from 2.55 to 2.60 Å. Sr-O bond lengths in melts increase from ~ 2.60 to 2.64 Å from pure silicate to silicate-bearing carbonate composition with constant elevated bond length within the carbonate region. For comparison and deeper insight, glass and melt structures of Y and Sr bearing sodium-rich silicate to carbonate compositions were simulated in an explorative ab initio molecular dynamics (MD) study. The simulations confirm observed patterns of CO2-dependent local changes around Y and Sr and additionally provide further insights into detailed incorporation mechanisms of the trace elements and CO2. Principle findings include that in sodium-rich silicate compositions carbon either is mainly incorporated as a free carbonate-group or shares one oxygen with a network former (Si or [4]Al) to form a non-bridging carbonate. Of minor importance are bridging carbonates between two network formers. Here, a clear preference for two [4]Al as adjacent network formers occurs, compared to what a statistical distribution would suggest. In C-bearing silicate melts minor amounts of molecular CO2 are present, which is almost totally dissolved as carbonate in the quenched glasses. The combination of experiment and simulation provides extraordinary insights into glass and melt structures. The new data is interpreted on the basis of bond valence theory and is used to deduce potential mechanisms for structural incorporation of investigated elements, which allow for prediction on their partitioning behavior in natural melts. Furthermore, it provides unique insights into the dissolution mechanisms of CO2 in silicate melts and into the carbonate melt structure. For the latter, a structural model is suggested, which is based on planar CO3-groups linking 7- to 9-fold cation polyhedra, in accordance to structural units as found in the Na-Ca carbonate nyerereite. Ultimately, the outcome of this study contributes to rationalize the unique physical properties and geological phenomena related to carbonated silicate-carbonate melts. N2 - Karbonatische und karbonatreiche silikatische Schmelzen spielen eine entscheidende Rolle in den magmatischen Prozessen der Erde. Die interne Schmelzstruktur bestimmt dabei maßgeblich ihre physikalischen und chemischen Eigenschaften. Karbonatreiche Schmelzen können sehr stark mit geochemisch wichtigen Spurenelementen angereichert sein. Die strukturellen Einbaumechanismen sind jedoch kaum verstanden, da diese Schmelzen nicht zu homogenen Gläsern abgeschreckt werden können, welche üblicherweise für strukturelle Untersuchungen genutzt werden. Die vorliegende Arbeit widmet sich dem Einfluss von CO2 auf die lokale Umgebung von ausgewählten Spurenelementen in karbonathaltigen silikatischen Gläsern sowie silikatisch bis karbonatischen Schmelzen. Untersucht werden natriumreiche, stark bis extrem peralkaline silikatische und karbonatische Zusammensetzungen, wie sie vom Vulkan Oldoinyo Lengai, Tansania, bekannt sind. Zum einen werden die lokale Umgebungen von Yttrium (Y), Lanthan (La) und Strontium (Sr) in synthetisierten Gläsern und Schmelzen mit Röntgen-Absorption-Feinstruktur-Spektroskopie (engl. X-ray absorption fine structure (XAFS) spectroscopy) untersucht. Insbesondere extended X-ray absorption fine structure (EXAFS) spectroscopy liefert elementspezifisch strukturelle Informationen über Bindungslängen, Koordinationszahlen und Ordnungsgrad. Dem hohen Grad struktureller Unordnung in Gläsern und Schmelzen wird in den vorliegenden EXAFS-Analysen mit der Verwendung einer asymmetrischen Verteilungsfunktion und eines Korrelationsmodells, basierend auf der Bindungsvalenztheorie, Rechnung getragen. Für silikatische Gläser mit steigendem CO2-Gehalt zwischen 0 und bis zu 7,6 Gew.-% ist festzustellen: (1) Konstante Bindungslängen für Sr-O (~ 2,55 Å) und La-O (~ 2,54 Å) in extrem peralkaliner Zusammensetzung, sowie für Y-O (~ 2,29 Å) in stark und extrem peralkaliner Zusammensetzung. (2) Zunehmende Bindungslängen für Sr-O (~ von 2,53 auf 2,57 Å) und La-O in stark peralkaliner Zusammensetzung (~ von 2,52 auf 2,54 Å). Weiterhin werden silikatische sowie nicht-abschreckbare karbonatische Schmelzen in-situ unter hohem Druck und hoher Temperatur (2,2 bis 2,6 GPa, 1200 bis 1500 °C, untersucht in einer Paris-Edinburgh-Presse) analysiert. Ein neu entwickelter Aufbau des Druckübertragungsmediums garantiert eine hohe mechanische Festigkeit und ermöglicht aufgrund hervorragender Transmissivität im relevanten Energiebereich Transmissions-EXAFS an niedrigkonzentrierten Elementen. Im Vergleich zu den Gläsern zeigen die Schmelzen generell ~ 3 % höhere Y-O-, La-O-, und Sr-O-Bindungslängen und eine erhöhte Asymmetrie in der Paarverteilung. In silikatischen Schmelzen sind Y-O-Bindungslängen konstant (~ 2,37 Å), wohingegen sie in karbonatischen Schmelzen zunehmen (bis zu 2,41 Å). La-O-Abstände vergrößern sich systematisch von silikatischen zu karbonatischen Schmelzen (von 2,55 auf 2,60 Å). Sr-O-Abstände steigen von 2,60 auf 2,64 Å in silikatischen Zusammensetzungen mit steigendem CO2-Gehalt und sind für alle karbonatischen Zusammensetzungen konstant. Zum Vergleich und besserem Verständnis wurden Y- und Sr-haltige, silikatische und karbonatische Glas- und Schmelzstrukturen in einer explorativen ab-initio Molekular Dynamik (MD) Studie simuliert. Die MD-Studie bestätigt die CO2-abhängigen lokalen Veränderungen um Y und Sr und liefert zusätzliche Einblicke in silikatische und karbonatische Glas- und Schmelzstrukturen. In natriumreicher silikatischer Zusammensetzung wird CO2 hauptsächlich als freie Karbonatgruppe eingebaut oder teilt sich als nicht-brückenbildendes Karbonat genau ein Sauerstoffatom mit einem Netzwerkbildner (Si oder [4]Al). Seltener tritt es als brückenbildendes Karbonat zwischen zwei Netzwerkbildnern auf; dabei allerdings mit einer gegenüber der statistischen Verteilung deutlich erhöhten Präferenz für zwei [4]Al als anliegende Netzwerkbildner. C-haltige Schmelzen weisen geringe Mengen an molekularem CO2 auf, welches in den abgeschreckten Gläsern fast vollständig als Karbonat gelöst ist. Die Kombination aus Experiment und Simulation gewährt außerordentliche Einblicke in nur schwierig zu untersuchende Glas- und Schmelzstrukturen. Die gewonnenen Daten werden auf Grundlage der Bindungsvalenztheorie gedeutet und hinsichtlich potentieller Mechanismen des strukturellen Spurenelementeinbaus sowie dem daraus ableitbaren Fraktionierungsverhalten in natürlichen Schmelzen diskutiert. Neue Erkenntnisse über den strukturellen CO2-Einbau werden genutzt, um ein Strukturmodell für karbonatische Schmelzen abzuleiten. Dieses basiert auf der Verknüpfung von 7- bis 9-fach koordinierten Kationenpolyedern durch die planaren Karbonat-Gruppen, ähnlich wie es im Na-Ca-Karbonat Nyerereite zu beobachten ist. Letztendlich leisten die Erkenntnisse der Arbeit somit ihren Beitrag, das Verständnis um die einzigartigen physikalischen Eigenschaften und geologischen Phänomene dieser Schmelzen zu vertiefen. KW - glass structure KW - melt structure KW - X-ray absorption spectroscopy KW - Glasstruktur KW - Schmelzstruktur KW - Röntgenabsorptionsspektroskopie Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-423826 ER - TY - RPRT A1 - Krieger, Heike A1 - Liese, Andrea Margit T1 - A Metamorphosis of International Law? BT - Value changes in the international legal order from the perspectives of legal and political science T2 - KFG Working Paper Series N2 - The paper aims to lay out a framework for evaluating value shifts in the international legal order for the purposes of a forthcoming book. In view of current contestations it asks whether we are observing yet another period of norm change (Wandel) or even a more fundamental transformation of international law – a metamorphosis (Verwandlung). For this purpose it suggests to look into the mechanisms of how norms change from the perspective of legal and political science and also to approximate a reference point where change turns into metamorphosis. It submits that such a point may be reached where specific legally protected values are indeed changing (change of legal values) or where the very idea of protecting certain values through law is renounced (delegalizing of values). The paper discusses the benefits of such an interdisciplinary exchange and tries to identify differences and commonalities among both disciplinary perspectives. T3 - KFG Working Paper Series - 27 Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-426088 IS - 27 ER - TY - THES A1 - Bielefeldt, Jonas T1 - Toward Service-based Value Creation BT - The Role of Service Business Development in Manufacturing Companies T2 - Schriftenreihe zum Business Development ; 7 N2 - Over the past decade, society has witnessed an increasing expansion of service economies as manufacturing (i.e., product-oriented) companies break free from their product-based business model and move toward more service-oriented value creation as a result of several economic, technological, and social changes. As they shift from products to (service) solutions, manufacturing companies pursue new strategic direction, inter alia, by extensively employing service business development activities. The objective of this dissertation is to investigate the considerable (re-)emerging stream of service business development by providing vital insights for academia and management into important focus areas that have hardly, if at all, been (empirically) investigated in the existing literature before. Therefore, these findings can be vital to informing a differentiation in current and future marketing strategies in business practice. First of all, this dissertation focuses on the extent to which service business development is transposed into business practice. Because scarce empirical-quantitative research has studied the current state of service business development across various industry and market sectors, this study analyzes a unique, manually collected dataset of 266 (product and service) business development activities. In so doing, this investigation contributes to literature by presenting a comprehensive, industry-wide status quo and trend report of service business development in practice. Furthermore, given the surprisingly limited scientific attention paid to the question of how service business development is strategically configured and further applied to different environmental circumstances, this dissertation provides comprehensive theoretical and practical implications by analyzing in detail a sample of 137 service business developments of 66 product-oriented companies. Lastly, manufacturers are recognizing that service-oriented value creation is moving toward a more collaborative process of co-creation as a promising measure to achieve competitive advantage, and even more as an appropriate response to complex business environments. Thus, an increasing number of companies around the world have recently introduced business models related to access-based services such as car-, scooter-, and bike-sharing systems. But despite the considerable advantages of access-based services as an alternative to ownership, these companies are now seeing that consumer adoption and (re-)usage rates remain insufficient. Owing to the lack of general and cross-national scientific knowledge, the purpose of this dissertation continues to explore which factors impede diffusion of related service business development activities from a consumer perspective and what kind of differences can be established between countries. Consequently, with a total of 1,443 participants, a cross-national survey was carried out in three countries, i.e., the United States, Germany, and China, to measure a vast number of different adoption barriers derived from a developed integrated framework that combines established theories within innovation and adoption behavior research. Y1 - 2019 SN - 978-3-339-10642-1 PB - Kovac CY - Hamburg ER - TY - JOUR A1 - Kriegerowski, Marius A1 - Cesca, Simone A1 - Ohrnberger, Matthias A1 - Dahm, Torsten A1 - Krüger, Frank T1 - Event couple spectral ratio Q method for earthquake clusters BT - application to northwest Bohemia JF - Solid Earth N2 - We develop an amplitude spectral ratio method for event couples from clustered earthquakes to estimate seismic wave attenuation (Q-1) in the source volume. The method allows to study attenuation within the source region of earthquake swarms or aftershocks at depth, independent of wave path and attenuation between source region and surface station. We exploit the high-frequency slope of phase spectra using multitaper spectral estimates. The method is tested using simulated full wave-field seismograms affected by recorded noise and finite source rupture. The synthetic tests verify the approach and show that solutions are independent of focal mechanisms but also show that seismic noise may broaden the scatter of results. We apply the event couple spectral ratio method to northwest Bohemia, Czech Republic, a region characterized by the persistent occurrence of earthquake swarms in a confined source region at mid-crustal depth. Our method indicates a strong anomaly of high attenuation in the source region of the swarm with an averaged attenuation factor of Qp < 100. The application to S phases fails due to scattered P-phase energy interfering with S phases. The Qp anomaly supports the common hypothesis of highly fractured and fluid saturated rocks in the source region of the swarms in northwest Bohemia. However, high temperatures in a small volume around the swarms cannot be excluded to explain our observations. KW - west bohemia KW - attenuation tomography KW - swarm earthquakes KW - focal zone KW - parameters KW - locations KW - fault Y1 - 2019 U6 - https://doi.org/10.5194/se-10-317-2019 SN - 1869-9529 IS - 10 SP - 317 EP - 328 PB - Copernicus Publications CY - Göttingen ER - TY - RPRT A1 - Letsiou Häusler, Anna A1 - Beckenkamp, Nicolas A1 - Röthlisberger, Livia ED - Weiß, Norman T1 - New Dimensions of an Old Dilemma BT - Hate Speech and Freedom of Expression T2 - Staat, Recht und Politik – Forschungs- und Diskussionspapiere T2 - State, Law, and Politics - Research and Discussion Papers N2 - Unfolding the history of one of the oldest human val-ues, the freedom of expression, while defining its limits, is a complicated task. Does freedom stop where hate starts? This very old dilemma is -now more than ever before- revealing new dimensions. Politicians and new laws aim at regulating free expression, while disagree-ments over such regulation gradually become a source of endless conflict in newly formed multicultural, inter-connected, and digitized societies. The example of the Network Enforcement Act is used to understand the idea of restrictive legal practices in Germany, but also to enlighten the fact that law is a human construction which was created in order to regulate communication among individuals. Alternative practices, to straight legal ones, are summarized to show other dimensions of regulating hate speech without involving top-down approaches. The article proposes the approach of re-storative justice as a combination of legal and medita-tive practices in cases of hate speech. One advantage of the restorative justice approach elaborated in this arti-cle is the potential to remedy the inner hate and the pain, both of the victim and perpetrator. Finally, reveal-ing parts of history and new aspects of the ‘hate speech-puzzle’, leads to a questioning of contemporary social structures that possibly generate hate itself. N2 - Der Schutzbereich und die Grenzen der Meinungsfrei-heit müssen stets auf neue definiert und sie muss ge-gebenenfalls mit anderen Menschenrechten abgewogen werden. Hört die Freiheit dort auf, wo der Hass be-ginnt? Mit neuen Gesetzen zielen Politiker auf die Re-gulierung der freien Meinungsäußerung ab, während Meinungsverschiedenheiten über solche Regulierungen zu einer Quelle endloser Konflikte in neu gebildeten multikulturellen, miteinander verbundenen und digita-lisierten Gesellschaften werden. Am Beispiel des Netz-werkdurchsetzungsgesetzes wird die Idee restriktiver Rechtspraktiken in Deutschland untersucht, aber auch aufgezeigt, dass Recht eine menschliche Konstruktion ist, die geschaffen wurde, um die Kommunikation zwi-schen Individuen zu regeln. Alternative, nicht aus-schließlich juristische Praktiken werden zusammenge-fasst, um andere Dimensionen der Regulierung von Hassreden aufzuzeigen, die ohne Top-down-Ansätze auskommen. Wir schlagen den Ansatz der restorativen Gerechtigkeit als eine Kombination aus rechtlichen und meditativen Praktiken in Fällen von Hassrede vor. Ein Vorteil des in diesem Artikel erarbeiteten restaurativen Gerechtigkeitsansatzes ist das Potenzial, den inneren Hass und den Schmerz von Opfern und Tätern zu beseitigen. T3 - Staat, Recht und Politik – Forschungs- und Diskussionspapiere = State, Law, and Politics - Research and Discussion Papers - 7 KW - Freedom of expression KW - Hate speech Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-424869 SN - 2509-6974 IS - 7 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - THES A1 - Eckert, Sebastian T1 - Accessing active sites of molecular proton dynamics N2 - The unceasing impact of intense sunlight on earth constitutes a continuous source of energy fueling countless natural processes. On a molecular level, the energy contained in the electromagnetic radiation is transferred through photochemical processes into chemical or thermal energy. In the course of such processes, photo-excitations promote molecules into thermally inaccessible excited states. This induces adaptations of their molecular geometry according to the properties of the excited state. Decay processes towards energetically lower lying states in transient molecular geometries result in the formation of excited state relaxation pathways. The photo-chemical relaxation mechanisms depend on the studied system itself, the interactions with its chemical environment and the character of the involved states. This thesis focuses on systems in which photo-induced deprotonation processes occur at specific atomic sites. To detect these excited-state proton dynamics at the affected atoms, a local probe of molecular electronic structure is required. Therefore, site-selective and orbital-specific K-edge soft X-ray spectroscopy techniques are used here to detect photo-induced proton dynamics in gaseous and liquid sample environments. The protonation of nitrogen (N) sites in organic molecules and the oxygen (O) atom in the water molecule are probed locally through transitions between 1s orbitals and the p-derived molecular valence electronic structure. The used techniques are X-ray absorption spectroscopy (XAS) and resonant inelastic X-ray scattering (RIXS). Both yield access to the unoccupied local valence electronic structure, whereas the latter additionally probes occupied states. We apply these probes in optical pump X-ray probe experiments to investigate valence excited-state proton transfer capabilities of aqueous 2-thiopyridone. A characteristic shift of N K-edge X-ray absorption resonances as well as a distinct X-ray emission line are established by us as spectral fingerprints of N deprotonation in the system. We utilize them to identify photo-induced N deprotonation of 2-thiopyridone on femtosecond timescales, in optical pump N K-edge RIXS probe measurements. We further establish excited state proton transfer mechanisms on picosecond and nanosecond timescales along the dominant relaxation pathways of 2-thiopyridone using transient N K-edge XAS. Despite being an excellent probe mechanism for valence excited-state proton dynamics, the K-edge core-excitation itself also disturbs the electronic structure at specific sites of a molecule. The rapid reaction of protons to 1s photo-excitations can yield directional structural distortions within the femtosecond core-excited state lifetime. These directional proton dynamics can change the energetic separation of eigenstates of the system and alter probabilities for radiative decay between them. Both effects yield spectral signatures of the dynamics in RIXS spectra. Using these signatures of RIXS transitions into electronically excited states, we investigate proton dynamics induced by N K-edge excitation in the amino-acid histidine. The minor core-excited state dynamics of histidine in basic and neutral chemical environments allow us to establish XAS and RIXS spectral signatures of different N protonation states at its imidazole N sites. Based on these signatures, we identify an excitation-site-independent N-H dissociation for N K-edge excitation under acidic conditions. Such directional structural deformations, induced by core-excitations, also make proton dynamics in electronic ground states accessible through RIXS transitions into vibrationally excited states. In that context, we interpret high resolution RIXS spectra of the water molecule for three O K-edge resonances based on quantum-chemical wave packet propagation simulations. We show that highly oriented ground state vibrational modes of coupled nuclear motion can be populated through RIXS processes by preparation of core-excited state nuclear wave packets with the same directionality. Based on that, we analytically derive the possibility to extract one-dimensional directional cuts through potential energy surfaces of molecular systems from the corresponding RIXS spectra. We further verify this concept through the extraction of the gas-phase water ground state potential along three coordinates from experimental data in comparison to quantum-chemical simulations of the potential energy surface. This thesis also contains contributions to instrumentation development for investigations of photo-induced molecular dynamics at high brilliance X-ray light sources. We characterize the setup used for the transient valence-excited state XAS measurements of 2-thiopyridone. Therein, a sub-micrometer thin liquid sample environment is established employing in-vacuum flat-jet technology, which enables a transmission experimental geometry. In combination with a MHz-laser system, we achieve a high detection sensitivity for photo-induced X-ray absorption changes. Additionally, we present conceptual improvements for temporal X-ray optical cross-correlation techniques based on transient changes of multilayer optical properties, which are crucial for the realization of femtosecond time-resolved studies at synchrotrons and free-electron lasers. N2 - Die stetige Bestrahlung der Erde mit intensivem Sonnenlicht stellt einen permanente Energiequelle dar, die zahllose natürliche Prozesse antreibt. Auf molekularer Ebene wird die Energie der elektromagnetischen Strahlung durch photochemische Prozesse in chemische und thermische Energie umgewandelt. Während dieser Prozesse werden thermisch nicht erreichbare angeregte Zustände von Molekülen durch Photoanregungen bevölkert. Dies führt zu Änderungen der Molekülgeometrie, die abhängig von den Eigenschaften der angeregten Zustände sind. Zerfallsprozesse in energetisch tieferliegende Zustände in transienten Molekülgeometrien führen zur Ausbildung von Relaxationspfaden angeregter Zustände. Die Relaxationsmechanismen sind dabei abhängig vom untersuchten System selbst, den Wechselwirkungen mit seiner chemischen Umgebung und den Eigenschaften der beteiligten angeregten Zustände. In dieser Arbeit werden Systeme untersucht, in denen die Protonierung bestimmter Atome im Molekül durch eine Photoanregung geändert werden kann. Um Protonendynamik an den betreffenden Atomen zu untersuchen, wird ein lokaler Zugang zur elektronischen Struktur des Moleküls benötigt. Daher wird in dieser Arbeit K-Kanten Weichröntgenspektroskopie genutzt, um photo-induzierte Protonendynamik in gasförmigen und flüssigen Proben zu untersuchen. Zusätzlich zur Selektivität bzgl. des Elements und des chemischen Zustands des betreffenden Atoms bietet diese Zugang zum Charakter und zur Lokalisierung der bindungsformenden Valenzorbitale. Die Protonierung von Stickstoffatomen (N) in organischen Systemen und die des Sauerstoffatoms (O) im Wassermolekül wird dabei durch Übergänge zwischen stark lokalisierten 1s- und Valenzorbitalen mit 2p-Charakter detektiert. Die verwendeten Spektroskopiemethoden Röntgenabsorption (engl. X-ray absorption spectroscopy, XAS) und resonate inelastische Röntgenstreuung (engl. resonant inelastic X-ray scattering, RIXS) bieten dabei einen lokalen Zugang zur unbesetzten bzw. im Fall von RIXS auch zur besetzten elektronischen Struktur der untersuchten Moleküle. Mit Hilfe der genannten Methoden haben wir in zeitaufgelösten Anrege-Abfrage (engl. pump-probe) Experimenten durch Valenzanregungen induzierte Protonentransfer-Prozesse (engl. excited state proton transfer, ESPT) des Moleküls 2-Thiopyridon in wässriger Lösung untersucht. Eine Verschiebung der N K-Kanten Röntgenabsorptionsresonanzen, sowie eine charakteristische Röntgenemissionslinie werden von uns als spektrale Signaturen einer N Deprotonierung des Systems etabliert. Eine potenzielle photo-induzierte N Deprotonierung des Moleküls wird anhand dieser Signaturen auf femtosekunden Zeitskalen über zeitaufgelöste N K-Kanten RIXS Messungen identifiziert. Protonentransfer-Mechanismen auf Pico- und Nanosekunden Zeitskalen entlang der dominanten Relaxationspfade des Systems werden mit zeitaufgelöstem N K-Kanten XAS untersucht. K-Kanten Rumpfanregungen eignen sich nicht nur ideal zur Detektion von Protonendynamik in valenzangeregten Zuständen, da die Rumpfanregungen selbst auch eine lokalisierte Störung der elektronischen Struktur darstellen. Vor allem die Reaktion von Protonen auf diese Störung innerhalb der 1s Rumpfloch-Lebensdauer von wenigen Femtosekunden kann zu einer gerichteten Verzerrung der Molekülstruktur führen. Die damit verbundenen Änderungen von Übergangsenergien und -wahrscheinlichkeiten sind als Signaturen dieser gerichteten Protonendynamik in RIXS Spektren zugänglich. Anhand von RIXS Übergängen in elektronisch angeregte Zustände untersuchen wir Protonendynamik, die durch N K-Kanten Anregungen an den N Atomen im Imidazolring der Aminosäure Histidin induziert wird. Die schwache Dynamik in basischen und neutralen wässrigen Lösungen erlauben es uns, die Protonierung dieser N Atome mit charakteristischen spektralen Signaturen zu korrelieren. Mit Hilfe dieser Signaturen identifizieren wir eine durch K-Kanten Anregung verursachte N-H Dissoziation in saurer Lösung. Dieser Prozess ist unabhängig davon, an welchem der N Atome des Imidazolrings die Rumpfanregung lokalisiert ist. Solche, durch Rumpfanregungen verursachten, gerichteten Verzerrungen der Molekülstruktur ermöglichen einen Zugang zu Protonendynamik im elektronischen Grundzustand über RIXS Prozesse in dessen vibrationsangeregte Zustände. In diesem Zusammenhang vergleichen wir hochaufgelöste O K-Kanten RIXS Spektren des Wassermoleküls in der Gasphase mit quantenchemischen Simulationen zur Wellenpaketpropagation in den rumpfangeregten Zuständen. Dabei wird deutlich, dass die gerichtete Verzerrung der Molekülstruktur im rumpfangeregten Zustand eine Bevölkerung von Vibrationsmoden des Grundzustandes mit der gleichen Ausrichtung durch den RIXS Prozess verursacht. Anhand dieser Ergebnisse leiten wir ab, unter welchen Bedingungen eine Extraktion eindimensionaler Querschnitte der Potentialfläche des Grundzustandes aus den entsprechenden RIXS Spektren möglich ist. Wir verifizieren diese Methode anhand der Extraktion der Grundzustandspotentialfläche des Wassermoleküls entlang drei unterschiedlicher Richtungen im Vergleich zu den quantenchemischen Rechnungen. Diese Arbeit enthält zudem Beiträge zur Entwicklung von Instrumentierung für Untersuchungen valenzangeregter Moleküldynamik an Röntgenquellen mit hoher Brillianz. Der experimentelle Aufbau, der für die zeitaufgelösten XAS Messungen an 2-Thiopyridon verwendet wurde, wird vorgestellt. Ein sub-Mikrometer dünner Flüssigkeitsflachstrahl erlaubt dabei Messungen in einer Transmissionsgeometrie. In Kombination mit einem MHz-Lasersystem können transiente Absorptionsänderungen effizient detektiert werden. Zudem präsentieren wir Konzepte zur zeitlichen Korrelation von Röntgen- und optischen Lichtpulsen, basierend auf Änderungen der optischen Eigenschaften von Dünnschichtsystemen, die essenziell für Studien transienter Prozesse an Synchrotrons und Freie-Elektronen Lasern mit Femtosekunden Zeitauflösung sind. KW - molecular proton dynamics KW - Protonendynamik molekularer Systeme KW - K-edge soft X-ray spectroscopy KW - K-Kanten Weichröntgenspektroskopie KW - excited state proton transfer KW - Protonentransfer in angeregten Zuständen KW - core-excited state dynamics KW - Dynamik in rumpfangeregten Zuständen KW - optical pump - X-ray probe spectroscopy KW - Kurzzeitspektroskopie mit optischer Anregung und Röntgendetektion Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-425870 ER - TY - GEN A1 - Grafe, Marianne A1 - Batsios, Petros A1 - Meyer, Irene A1 - Lisin, Daria A1 - Baumann, Otto A1 - Goldberg, Martin W. A1 - Gräf, Ralph T1 - Supramolecular Structures of the Dictyostelium Lamin NE81 T2 - Potsprint der Universität Potsdam Mathematisch-Naturwissenschaftliche Reihe N2 - Nuclear lamins are nucleus-specific intermediate filaments (IF) found at the inner nuclear membrane (INM) of the nuclear envelope (NE). Together with nuclear envelope transmembrane proteins, they form the nuclear lamina and are crucial for gene regulation and mechanical robustness of the nucleus and the whole cell. Recently, we characterized Dictyostelium NE81 as an evolutionarily conserved lamin-like protein, both on the sequence and functional level. Here, we show on the structural level that the Dictyostelium NE81 is also capable of assembling into filaments, just as metazoan lamin filament assemblies. Using field-emission scanning electron microscopy, we show that NE81 expressed in Xenopous oocytes forms filamentous structures with an overall appearance highly reminiscent of Xenopus lamin B2. The in vitro assembly properties of recombinant His-tagged NE81 purified from Dictyostelium extracts are very similar to those of metazoan lamins. Super-resolution stimulated emission depletion (STED) and expansion microscopy (ExM), as well as transmission electron microscopy of negatively stained purified NE81, demonstrated its capability of forming filamentous structures under low-ionic-strength conditions. These results recommend Dictyostelium as a non-mammalian model organism with a well-characterized nuclear envelope involving all relevant protein components known in animal cells. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 682 KW - lamin KW - NE81 KW - Dictyostelium KW - nuclear envelope KW - nuclear lamina KW - expansion microscopy Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-425976 SN - 1866-8372 IS - 682 ER - TY - JOUR A1 - Grafe, Marianne A1 - Batsios, Petros A1 - Meyer, Irene A1 - Lisin, Daria A1 - Baumann, Otto A1 - Goldberg, Martin W. A1 - Gräf, Ralph T1 - Supramolecular Structures of the Dictyostelium Lamin NE81 JF - Cells N2 - Nuclear lamins are nucleus-specific intermediate filaments (IF) found at the inner nuclear membrane (INM) of the nuclear envelope (NE). Together with nuclear envelope transmembrane proteins, they form the nuclear lamina and are crucial for gene regulation and mechanical robustness of the nucleus and the whole cell. Recently, we characterized Dictyostelium NE81 as an evolutionarily conserved lamin-like protein, both on the sequence and functional level. Here, we show on the structural level that the Dictyostelium NE81 is also capable of assembling into filaments, just as metazoan lamin filament assemblies. Using field-emission scanning electron microscopy, we show that NE81 expressed in Xenopous oocytes forms filamentous structures with an overall appearance highly reminiscent of Xenopus lamin B2. The in vitro assembly properties of recombinant His-tagged NE81 purified from Dictyostelium extracts are very similar to those of metazoan lamins. Super-resolution stimulated emission depletion (STED) and expansion microscopy (ExM), as well as transmission electron microscopy of negatively stained purified NE81, demonstrated its capability of forming filamentous structures under low-ionic-strength conditions. These results recommend Dictyostelium as a non-mammalian model organism with a well-characterized nuclear envelope involving all relevant protein components known in animal cells. KW - lamin KW - NE81 KW - Dictyostelium KW - nuclear envelope KW - nuclear lamina KW - expansion microscopy Y1 - 2019 U6 - https://doi.org/10.3390/cells8020162 SN - 2073-4409 VL - 8 IS - 2 PB - Molecular Diversity Preservation International CY - Basel ER - TY - GEN A1 - Rawel, Harshadrai Manilal A1 - Huschek, Gerd A1 - Sagu Tchewonpi, Sorel A1 - Homann, Thomas T1 - Cocoa Bean Proteins BT - Characterization, Changes and Modifications due to Ripening and Post-Harvest Processing T2 - Postprints der Universität Potsdam: Mathematisch-Naturwissenschaftliche Reihe N2 - The protein fractions of cocoa have been implicated influencing both the bioactive potential and sensory properties of cocoa and cocoa products. The objective of the present review is to show the impact of different stages of cultivation and processing with regard to the changes induced in the protein fractions. Special focus has been laid on the major seed storage proteins throughout the different stages of processing. The study starts with classical introduction of the extraction and the characterization methods used, while addressing classification approaches of cocoa proteins evolved during the timeline. The changes in protein composition during ripening and maturation of cocoa seeds, together with the possible modifications during the post-harvest processing (fermentation, drying, and roasting), have been documented. Finally, the bioactive potential arising directly or indirectly from cocoa proteins has been elucidated. The “state of the art” suggests that exploration of other potentially bioactive components in cocoa needs to be undertaken, while considering the complexity of reaction products occurring during the roasting phase of the post-harvest processing. Finally, the utilization of partially processed cocoa beans (e.g., fermented, conciliatory thermal treatment) can be recommended, providing a large reservoir of bioactive potentials arising from the protein components that could be instrumented in functionalizing foods. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 681 KW - cocoa processing KW - cocoa proteins KW - classification KW - extraction and characterization methods KW - fermentation-related enzymes KW - bioactive peptides KW - heath potentials KW - protein–phenol interactions Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-425953 SN - 1866-8372 IS - 681 ER - TY - JOUR A1 - Rawel, Harshadrai Manilal A1 - Huschek, Gerd A1 - Sagu Tchewonpi, Sorel A1 - Homann, Thomas T1 - Cocoa Bean Proteins BT - Characterization, Changes and Modifications due to Ripening and Post-Harvest Processing JF - Nutrients N2 - The protein fractions of cocoa have been implicated influencing both the bioactive potential and sensory properties of cocoa and cocoa products. The objective of the present review is to show the impact of different stages of cultivation and processing with regard to the changes induced in the protein fractions. Special focus has been laid on the major seed storage proteins throughout the different stages of processing. The study starts with classical introduction of the extraction and the characterization methods used, while addressing classification approaches of cocoa proteins evolved during the timeline. The changes in protein composition during ripening and maturation of cocoa seeds, together with the possible modifications during the post-harvest processing (fermentation, drying, and roasting), have been documented. Finally, the bioactive potential arising directly or indirectly from cocoa proteins has been elucidated. The “state of the art” suggests that exploration of other potentially bioactive components in cocoa needs to be undertaken, while considering the complexity of reaction products occurring during the roasting phase of the post-harvest processing. Finally, the utilization of partially processed cocoa beans (e.g., fermented, conciliatory thermal treatment) can be recommended, providing a large reservoir of bioactive potentials arising from the protein components that could be instrumented in functionalizing foods. KW - cocoa processing KW - cocoa proteins KW - classification KW - extraction and characterization methods KW - fermentation-related enzymes KW - bioactive peptides KW - heath potentials KW - protein–phenol interactions Y1 - 2019 U6 - https://doi.org/10.3390/nu11020428 SN - 2072-6643 VL - 11 IS - 2 PB - Molecular Diversity Preservation International CY - Basel ER - TY - GEN A1 - Wickert, Andrew D. A1 - Schildgen, Taylor F. T1 - Long-profile evolution of transport-limited gravel-bed rivers T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Alluvial and transport-limited bedrock rivers constitute the majority of fluvial systems on Earth. Their long profiles hold clues to their present state and past evolution. We currently possess first-principles-based governing equations for flow, sediment transport, and channel morphodynamics in these systems, which we lack for detachment-limited bedrock rivers. Here we formally couple these equations for transport-limited gravel-bed river long-profile evolution. The result is a new predictive relationship whose functional form and parameters are grounded in theory and defined through experimental data. From this, we produce a power-law analytical solution and a finite-difference numerical solution to long-profile evolution. Steady-state channel concavity and steepness are diagnostic of external drivers: concavity decreases with increasing uplift rate, and steepness increases with an increasing sediment-to-water supply ratio. Constraining free parameters explains common observations of river form: to match observed channel concavities, gravel-sized sediments must weather and fine – typically rapidly – and valleys typically should widen gradually. To match the empirical square-root width–discharge scaling in equilibrium-width gravel-bed rivers, downstream fining must occur. The ability to assign a cause to such observations is the direct result of a deductive approach to developing equations for landscape evolution. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 680 KW - bedrock incision models KW - sediment transport KW - landscape response KW - stream-power KW - alluvial river KW - size distribution KW - channel changes KW - basin geometry KW - grain-size KW - flow Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-425718 SN - 1866-8372 IS - 680 ER - TY - GEN A1 - Weithoff, Guntram A1 - Beisner, Beatrix E. T1 - Measures and Approaches in Trait-Based Phytoplankton Community Ecology BT - From Freshwater to Marine Ecosystems T2 - Postprints der Universität Potsdam Mathematisch-Naturwissenschaftliche Reihe N2 - Trait-based approaches to investigate (short- and long-term) phytoplankton dynamics and community assembly have become increasingly popular in freshwater and marine science. Although the nature of the pelagic habitat and the main phytoplankton taxa and ecology are relatively similar in both marine and freshwater systems, the lines of research have evolved, at least in part, separately. We compare and contrast the approaches adopted in marine and freshwater ecosystems with respect to phytoplankton functional traits. We note differences in study goals relating to functional trait use that assess community assembly and those that relate to ecosystem processes and biogeochemical cycling that affect the type of characteristics assigned as traits to phytoplankton taxa. Specific phytoplankton traits relevant for ecological function are examined in relation to herbivory, amplitude of environmental change and spatial and temporal scales of study. Major differences are identified, including the shorter time scale for regular environmental change in freshwater ecosystems compared to that in the open oceans as well as the type of sampling done by researchers based on site-accessibility. Overall, we encourage researchers to better motivate why they apply trait-based analyses to their studies and to make use of process-driven approaches, which are more common in marine studies. We further propose fully comparative trait studies conducted along the habitat gradient spanning freshwater to brackish to marine systems, or along geographic gradients. Such studies will benefit from the combined strength of both fields. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 679 KW - algae KW - functional traits KW - ocean KW - lake KW - biogeochemistry KW - community assembly Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-425814 SN - 1866-8372 IS - 679 ER - TY - JOUR A1 - Weithoff, Guntram A1 - Beisner, Beatrix E. T1 - Measures and Approaches in Trait-Based Phytoplankton Community Ecology BT - From Freshwater to Marine Ecosystems JF - Frontiers in Marine Science N2 - Trait-based approaches to investigate (short- and long-term) phytoplankton dynamics and community assembly have become increasingly popular in freshwater and marine science. Although the nature of the pelagic habitat and the main phytoplankton taxa and ecology are relatively similar in both marine and freshwater systems, the lines of research have evolved, at least in part, separately. We compare and contrast the approaches adopted in marine and freshwater ecosystems with respect to phytoplankton functional traits. We note differences in study goals relating to functional trait use that assess community assembly and those that relate to ecosystem processes and biogeochemical cycling that affect the type of characteristics assigned as traits to phytoplankton taxa. Specific phytoplankton traits relevant for ecological function are examined in relation to herbivory, amplitude of environmental change and spatial and temporal scales of study. Major differences are identified, including the shorter time scale for regular environmental change in freshwater ecosystems compared to that in the open oceans as well as the type of sampling done by researchers based on site-accessibility. Overall, we encourage researchers to better motivate why they apply trait-based analyses to their studies and to make use of process-driven approaches, which are more common in marine studies. We further propose fully comparative trait studies conducted along the habitat gradient spanning freshwater to brackish to marine systems, or along geographic gradients. Such studies will benefit from the combined strength of both fields. KW - algae KW - functional traits KW - ocean KW - lake KW - biogeochemistry KW - community assembly Y1 - 2019 U6 - https://doi.org/10.3389/fmars.2019.00040 SN - 2296-7745 VL - 6 PB - Frontiers Media CY - Lausanne ER - TY - THES A1 - Grishina, Yulia T1 - Assessing the applicability of annotation projection methods for coreference relations T1 - Analyse der Qualität von Annotationsprojektionsmethoden für Koreferenzrelationen N2 - The main goal of this thesis is to explore the feasibility of using cross-lingual annotation projection as a method of alleviating the task of manual coreference annotation. To reach our goal, we build a first trilingual parallel coreference corpus that encompasses multiple genres. For the annotation of the corpus, we develop common coreference annotation guidelines that are applicable to three languages (English, German, Russian) and include a novel domain-independent typology of bridging relations as well as state-of-the-art near-identity categories. Thereafter, we design and perform several annotation projection experiments. In the first experiment, we implement a direct projection method with only one source language. Our results indicate that, already in a knowledge-lean scenario, our projection approach is superior to the most closely related work of Postolache et al. (2006). Since the quality of the resulting annotations is to a high degree dependent on the word alignment, we demonstrate how using limited syntactic information helps to further improve mention extraction on the target side. As a next step, in our second experiment, we show how exploiting two source languages helps to improve the quality of target annotations for both language pairs by concatenating annotations projected from two source languages. Finally, we assess the projection quality in a fully automatic scenario (using automatically produced source annotations), and propose a pilot experiment on manual projection of bridging pairs. For each of the experiments, we carry out an in-depth error analysis, and we conclude that noisy word alignments, translation divergences and morphological and syntactic differences between languages are responsible for projection errors. We systematically compare and evaluate our projection methods, and we investigate the errors both qualitatively and quantitatively in order to identify problematic cases. Finally, we discuss the applicability of our method to coreference annotations and propose several avenues of future research. N2 - Ziel dieser Dissertation ist, die Durchführbarkeit von crosslingualer Annotationsprojektion als Methode zur Erleichterung der manuellen Koreferenzannotation zu erproben. Um dieses Ziel zu erreichen, wird das erste dreisprachige parallele Koreferenzkorpus gebaut, das mehrere Textsorten umfasst. Für die Korpusannotation werden gemeinsame Annotationsrichtlinien entwickelt, die auf drei Sprachen anwendbar sind (Englisch, Deutsch, Russisch) und eine neue domänenunabhängige Typologie von indirekten Wiederaufnahmen und sogenannten Near-Identity-Kategorien enthalten. Danach werden mehrere Projektionsexperimente entworfen und durchgeführt. Im ersten Experiment wird eine direkte Projektionsmethode mit nur einer Ausgangs\-sprache implementiert. Die Ergebnisse zeigen, dass bereits in einem wissensarmen Szenario der vorgeschlagene Projektionsansatz die Resultate der verwandten Arbeit von Postolache et al. (2006) übertrifft. Da die Qualität der resultierenden Annotationen in hohem Maße von der Wortalignierung abhängig ist, zeigen wir, wie die Verwendung begrenzter syntaktischer Informationen weiterhilft, die Extraktion von referierenden Ausdrücken auf der Zielseite zu verbessern. Im nächsten Schritt, dem zweiten Experiment, demonstrieren wir, wie die Nutzung von zwei Ausgangssprachen zur weiteren Verbesserung der Qualität der Zielannotationen für beide Sprachpaare beiträgt, indem die Annotationen aus zwei Quellsprachen kombiniert werden. Schließlich wird die Projektionsqualität noch in einem vollautomatischen Szenario ausgewertet (mit automatisch erstellten Quellannotationen), und ein Pilotversuch zur manuellen Projektion von Paaren indirekter Wiederaufnahmen vorgestellt. Für jedes Experiment wird eine detaillierte Fehleranalyse durchgeführt. Daraus schließen wir, dass fehlerhafte Wortalignierungen, Übersetzungsdivergenzen und morphologische sowie syntaktische Unterschiede zwischen den Sprachen für die Projektionsfehler verantwortlich sind. Hierzu werden die Projektionsmethoden systematisch verglichen und ausgewertet, und die Fehler sowohl qualitativ als auch quantitativ untersucht, um problematische Fälle zu identifizieren. Zum Schluss wird die Anwendbarkeit unserer Methode für Koreferenzannotationen diskutiert, und es werden Ansatzpunkte für weitere Forschung vorgeschlagen. KW - annotation KW - annotation projection KW - bridging KW - near-identity KW - coreference resolution KW - multilingual coreference KW - coreference corpus KW - Annotation KW - Annotationsprojektion KW - Koreferenz KW - indirekte Wiederaufnahmen KW - Near-identity KW - Koreferenzauflösung KW - multilinguale Koreferenz KW - Koreferenzkorpus Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-425378 ER - TY - GEN A1 - Schneider, Simon A1 - Heinecke, Liv T1 - The need to transform Science Communication from being multi-cultural via cross-cultural to intercultural T2 - Postprints der Universität Potsdam Mathematisch-Naturwissenschaftliche Reihe N2 - When dealing with issues that are of high so-cietal relevance, Earth sciences still face a lack of accep-tance, which is partly rooted in insufficient communicationstrategies on the individual and local community level. Toincrease the efficiency of communication routines, sciencehas to transform its outreach concepts to become more awareof individual needs and demands. The “encoding/decoding”concept as well as critical intercultural communication stud-ies can offer pivotal approaches for this transformation. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 677 Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-425768 SN - 1866-8372 IS - 677 ER - TY - JOUR A1 - Schneider, Simon A1 - Heinecke, Liv T1 - The need to transform Science Communication from being multi-cultural via cross-cultural to intercultural JF - Advances in Geosciences N2 - When dealing with issues that are of high societal relevance, Earth sciences still face a lack of acceptance, which is partly rooted in insufficient communication strategies on the individual and local community level. To increase the efficiency of communication routines, science has to transform its outreach concepts to become more aware of individual needs and demands. The “encoding/decoding” concept as well as critical intercultural communication studies can offer pivotal approaches for this transformation. Y1 - 2019 U6 - https://doi.org/10.5194/adgeo-46-11-2019 SN - 1680-7359 IS - 46 SP - 11 EP - 19 PB - Copernicus Publications CY - Göttingen ER - TY - THES A1 - Ferrari, Camilla T1 - Comparative transcriptomic studies to predict gene function and investigate the evolution of diurnal regulation Y1 - 2019 ER - TY - GEN A1 - Biskaborn, Boris A1 - Smith, Sharon L. A1 - Noetzli, Jeannette A1 - Matthes, Heidrun A1 - Vieira, Gonçalo A1 - Streletskiy, Dmitry A. A1 - Schoeneich, Philippe A1 - Romanovsky, Vladimir E. A1 - Lewkowicz, Antoni G. A1 - Abramov, Andrey A1 - Allard, Michel A1 - Boike, Julia A1 - Cable, William L. A1 - Christiansen, Hanne H. A1 - Delaloye, Reynald A1 - Diekmann, Bernhard A1 - Drozdov, Dmitry A1 - Etzelmüller, Bernd A1 - Große, Guido A1 - Guglielmin, Mauro A1 - Ingeman-Nielsen, Thomas A1 - Isaksen, Ketil A1 - Ishikawa, Mamoru A1 - Johansson, Margareta A1 - Joo, Anseok A1 - Kaverin, Dmitry A1 - Kholodov, Alexander A1 - Konstantinov, Pavel A1 - Kröger, Tim A1 - Lambiel, Christophe A1 - Lanckman, Jean-Pierre A1 - Luo, Dongliang A1 - Malkova, Galina A1 - Meiklejohn, Ian A1 - Moskalenko, Natalia A1 - Oliva, Marc A1 - Phillips, Marcia A1 - Ramos, Miguel A1 - Sannel, A. Britta K. A1 - Sergeev, Dmitrii A1 - Seybold, Cathy A1 - Skryabin, Pavel A1 - Vasiliev, Alexander A1 - Wu, Qingbai A1 - Yoshikawa, Kenji A1 - Zheleznyak, Mikhail A1 - Lantuit, Hugues T1 - Permafrost is warming at a global scale T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Permafrost warming has the potential to amplify global climate change, because when frozen sediments thaw it unlocks soil organic carbon. Yet to date, no globally consistent assessment of permafrost temperature change has been compiled. Here we use a global data set of permafrost temperature time series from the Global Terrestrial Network for Permafrost to evaluate temperature change across permafrost regions for the period since the International Polar Year (2007–2009). During the reference decade between 2007 and 2016, ground temperature near the depth of zero annual amplitude in the continuous permafrost zone increased by 0.39 ± 0.15 °C. Over the same period, discontinuous permafrost warmed by 0.20 ± 0.10 °C. Permafrost in mountains warmed by 0.19 ± 0.05 °C and in Antarctica by 0.37 ± 0.10 °C. Globally, permafrost temperature increased by 0.29 ± 0.12 °C. The observed trend follows the Arctic amplification of air temperature increase in the Northern Hemisphere. In the discontinuous zone, however, ground warming occurred due to increased snow thickness while air temperature remained statistically unchanged. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 669 KW - seasonal snow cover KW - thermal state KW - climate-change KW - activ-layer KW - Antarctic Peninsula KW - stability Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-425341 SN - 1866-8372 IS - 669 ER - TY - CHAP A1 - Turner, Bryan S. T1 - Introduction BT - demography, demogracy and right-wing populism T2 - Populism and the crisis of democracy. Volume 3. Migration, gender and religion Y1 - 2019 SN - 978-1-138-09138-2 SP - 1 EP - 8 PB - Routledge CY - London ER - TY - CHAP A1 - Fitzi, Gregor T1 - Introduction BT - political populism as a symptom of the great transformation of democracy T2 - Populism and the crisis of democracy. Volume 2. Politics, social movements and extremism Y1 - 2019 SN - 978-1-138-09137-5 SP - 1 EP - 8 PB - Routledge CY - London ER - TY - BOOK ED - Fitzi, Gregor ED - Mackert, Jürgen ED - Turner, Bryan S. T1 - Politics, Social Movements and Extremism T3 - Populism and the crisis of democracy N2 - The contributions to this volume Politics, Social Movements and Extremism take serious the fact that populism is a symptom of the crisis of representation that is affecting parliamentary democracy. Right-wing populism skyrocketed to electoral success and is now part of the government in several European countries, but it also shaped the Brexit campaign and the US presidential election. In Southern Europe, left-wing populism transformed the classical two parties systems into ungovernable three fractions parliaments, whereas in Latin America it still presents an instable alternative to liberal democracy. The varying consequences of populist mobilisation so far consist in the maceration of the established borders of political culture, the distortion of legislation concerning migrants and migration, and the emergence of hybrid regimes bordering on and sometimes leaning towards dictatorship. Yet, in order to understand populism, innovative research approaches are required that need to be capable of overcoming stereotypes and conceptual dichotomies which are deeply rooted in the political debate. The chapters of this volume offer such new theoretical strategies for inquiring into the multi-faceted populist phenomenon. The chapters analyse its language, concepts and its relationship to social media in an innovative way, draw the con -tours of left- and right-wing populism and reconstruct its shifting delimitation to political extremism. Furthermore, they value the most significant aftermath of populist mobilisation on the institutional frame of parliamentary democracy from the limitation of the freedom of press, to the dismantling of the separation of powers, to the erosion of citizenship rights. This volume will be an invaluable reference for students and scholars in the field of political theory, political sociology and European Studies. Y1 - 2019 SN - 978-1-31510-806-3 SN - 978-1-138-09137-5 U6 - https://doi.org/10.4324/9781315108063 VL - 2 PB - Routledge CY - London ER - TY - GEN A1 - Sperber, Hannah Sabeth A1 - Welke, Robert-William A1 - Petazzi, Roberto Arturo A1 - Bergmann, Ronny A1 - Schade, Matthias A1 - Shai, Yechiel A1 - Chiantia, Salvatore A1 - Herrmann, Andreas A1 - Schwarzer, Roland T1 - Self-association and subcellular localization of Puumala hantavirus envelope proteins T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Hantavirus assembly and budding are governed by the surface glycoproteins Gn and Gc. In this study, we investigated the glycoproteins of Puumala, the most abundant Hantavirus species in Europe, using fluorescently labeled wild-type constructs and cytoplasmic tail (CT) mutants. We analyzed their intracellular distribution, co-localization and oligomerization, applying comprehensive live, single-cell fluorescence techniques, including confocal microscopy, imaging flow cytometry, anisotropy imaging and Number&Brightness analysis. We demonstrate that Gc is significantly enriched in the Golgi apparatus in absence of other viral components, while Gn is mainly restricted to the endoplasmic reticulum (ER). Importantly, upon co-expression both glycoproteins were found in the Golgi apparatus. Furthermore, we show that an intact CT of Gc is necessary for efficient Golgi localization, while the CT of Gn influences protein stability. Finally, we found that Gn assembles into higher-order homo-oligomers, mainly dimers and tetramers, in the ER while Gc was present as mixture of monomers and dimers within the Golgi apparatus. Our findings suggest that PUUV Gc is the driving factor of the targeting of Gc and Gn to the Golgi region, while Gn possesses a significantly stronger self-association potential. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 648 KW - Sin-Nombre-Virus KW - nucleocapsid protein KW - cytoplasmic tails KW - electron cryotomography KW - autophagic clearance KW - glycoprotein KW - Gn KW - G1 KW - brightness KW - fever Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-425040 SN - 1866-8372 IS - 648 ER - TY - GEN A1 - Marc, Odin A1 - Behling, Robert A1 - Andermann, Christoff A1 - Turowski, Jens M. A1 - Illien, Luc A1 - Roessner, Sigrid A1 - Hovius, Niels T1 - Long-term erosion of the Nepal Himalayas by bedrock landsliding BT - the role of monsoons, earthquakes and giant landslides T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - In active mountain belts with steep terrain, bedrock landsliding is a major erosional agent. In the Himalayas, landsliding is driven by annual hydro-meteorological forcing due to the summer monsoon and by rarer, exceptional events, such as earthquakes. Independent methods yield erosion rate estimates that appear to increase with sampling time, suggesting that rare, high-magnitude erosion events dominate the erosional budget. Nevertheless, until now, neither the contribution of monsoon and earthquakes to landslide erosion nor the proportion of erosion due to rare, giant landslides have been quantified in the Himalayas. We address these challenges by combining and analysing earthquake- and monsoon-induced landslide inventories across different timescales. With time series of 5 m satellite images over four main valleys in central Nepal, we comprehensively mapped landslides caused by the monsoon from 2010 to 2018. We found no clear correlation between monsoon properties and landsliding and a similar mean landsliding rate for all valleys, except in 2015, where the valleys affected by the earthquake featured ∼ 5–8 times more landsliding than the pre-earthquake mean rate. The longterm size–frequency distribution of monsoon-induced landsliding (MIL) was derived from these inventories and from an inventory of landslides larger than ∼ 0.1 km 2 that occurred between 1972 and 2014. Using a published landslide inventory for the Gorkha 2015 earthquake, we derive the size–frequency distribution for earthquake-induced landsliding (EQIL). These two distributions are dominated by infrequent, large and giant landslides but under-predict an estimated Holocene frequency of giant landslides (> 1 km 3 ) which we derived from a literature compilation. This discrepancy can be resolved when modelling the effect of a full distribution of earthquakes of variable magnitude and when considering that a shallower earthquake may cause larger landslides. In this case, EQIL and MIL contribute about equally to a total long-term erosion of ∼ 2 ± 0.75 mm yr −1 in agreement with most thermo-chronological data. Independently of the specific total and relative erosion rates, the heavy-tailed size–frequency distribution from MIL and EQIL and the very large maximal landslide size in the Himalayas indicate that mean landslide erosion rates increase with sampling time, as has been observed for independent erosion estimates. Further, we find that the sampling timescale required to adequately capture the frequency of the largest landslides, which is necessary for deriving long-term mean erosion rates, is often much longer than the averaging time of cosmogenic 10 Be methods. This observation presents a strong caveat when interpreting spatial or temporal variability in erosion rates from this method. Thus, in areas where a very large, rare landslide contributes heavily to long-term erosion (as the Himalayas), we recommend 10 Be sample in catchments with source areas > 10 000 km 2 to reduce the method mean bias to below ∼ 20 % of the long-term erosion. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 646 KW - rainfall thresholds KW - global database KW - sediment flux KW - mountain belt KW - rates KW - river KW - size KW - exhumation KW - precipitation KW - inventories Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-425022 SN - 1866-8372 IS - 646 ER - TY - GEN A1 - Sixtus, Elena A1 - Lonnemann, Jan A1 - Fischer, Martin H. A1 - Werner, Karsten T1 - Mental Number Representations in 2D Space T2 - Postprints der Universität Potsdam Humanwissenschaftliche Reihe N2 - There is evidence both for mental number representations along a horizontal mental number line with larger numbers to the right of smaller numbers (for Western cultures) and a physically grounded, vertical representation where “more is up.” Few studies have compared effects in the horizontal and vertical dimension and none so far have combined both dimensions within a single paradigm where numerical magnitude was task-irrelevant and none of the dimensions was primed by a response dimension. We now investigated number representations over both dimensions, building on findings that mental representations of numbers and space co-activate each other. In a Go/No-go experiment, participants were auditorily primed with a relatively small or large number and then visually presented with quasi-randomly distributed distractor symbols and one Arabic target number (in Go trials only). Participants pressed a central button whenever they detected the target number and elsewise refrained from responding. Responses were not more efficient when small numbers were presented to the left and large numbers to the right. However, results indicated that large numbers were associated with upper space more strongly than small numbers. This suggests that in two-dimensional space when no response dimension is given, numbers are conceptually associated with vertical, but not horizontal space. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 538 KW - spatial-numerical associations KW - SNARC KW - vertical space KW - horizontal space KW - Go/No-go task Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-424960 SN - 1866-8364 IS - 538 ER - TY - JOUR A1 - Sixtus, Elena A1 - Lonnemann, Jan A1 - Fischer, Martin H. A1 - Werner, Karsten T1 - Mental Number Representations in 2D Space JF - Frontiers in Psychology N2 - There is evidence both for mental number representations along a horizontal mental number line with larger numbers to the right of smaller numbers (for Western cultures) and a physically grounded, vertical representation where “more is up.” Few studies have compared effects in the horizontal and vertical dimension and none so far have combined both dimensions within a single paradigm where numerical magnitude was task-irrelevant and none of the dimensions was primed by a response dimension. We now investigated number representations over both dimensions, building on findings that mental representations of numbers and space co-activate each other. In a Go/No-go experiment, participants were auditorily primed with a relatively small or large number and then visually presented with quasi-randomly distributed distractor symbols and one Arabic target number (in Go trials only). Participants pressed a central button whenever they detected the target number and elsewise refrained from responding. Responses were not more efficient when small numbers were presented to the left and large numbers to the right. However, results indicated that large numbers were associated with upper space more strongly than small numbers. This suggests that in two-dimensional space when no response dimension is given, numbers are conceptually associated with vertical, but not horizontal space. KW - spatial-numerical associations KW - SNARC KW - vertical space KW - horizontal space KW - Go/No-go task Y1 - 2019 U6 - https://doi.org/10.3389/fpsyg.2019.00172 SN - 1664-1078 VL - 10 PB - Frontiers Research Foundation CY - Lausanne ER - TY - GEN A1 - Czapka, Sophia A1 - Klassert, Annegret A1 - Festman, Julia T1 - Executive Functions and Language BT - Their Differential Influence on Mono- vs. Multilingual Spelling in Primary School T2 - Postprints der Universität Potsdam Humanwissenschaftliche Reihe N2 - We aimed at unveiling the role of executive functions (EFs) and language-related skills in spelling for mono- versus multilingual primary school children. We focused on EF and language-related skills, in particular lexicon size and phonological awareness (PA), because these factors were found to predict spelling in studies predominantly conducted with monolinguals, and because multilingualism can modulate these factors. There is evidence for (a) a bilingual advantage in EF due to constant high cognitive demands through language control, (b) a smaller mental lexicon in German and (c) possibly better PA. Multilinguals in Germany show on average poorer German language proficiency, what can influence performance on language-based tasks negatively. Thus, we included two spelling tasks to tease apart spelling based on lexical knowledge (i.e., word spelling) from spelling based on non-lexical strategies (i.e., non-word spelling). Our sample consisted of heterogeneous third graders from Germany: 69 monolinguals (age: M = 108 months) and 57 multilinguals (age: M = 111 months). On less language-dependent tasks (e.g., non-word spelling, PA, intelligence, short-term memory (STM) and three EF tasks testing switching, inhibition, and working memory) performance of both groups did not differ significantly. However, multilinguals performed significantly more poorly on tasks measuring German lexicon size and word spelling than monolinguals. Regression analyses revealed that for multilinguals, inhibition was related to spelling, whereas switching was the only EF component to influence word spelling in monolinguals and non-word spelling performance in both groups. By adding lexicon size and other language-related factors to the regression models, the influence of switching was reduced to insignificant effects, but inhibition remained significant for multilinguals. Language-related skills best predicted spelling and both language groups shared those variables: PA for word spelling, and STM for non-word spelling. Additionally, multilinguals’ word spelling performance was also predicted by their German lexicon size, and non-word spelling performance by PA. This study offers an in-depth look at spelling acquisition at a certain point of literacy development. Mono- and multilinguals have the predominant factors for spelling in common, but probably due to superior language knowledge, monolinguals were already able to make use of EF during spelling. For multilinguals, German lexicon size was more important for spelling than EF. For multilinguals’ spelling these functions might come into play only at a later stage. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 537 KW - bilingualism KW - spelling KW - literacy acquisition KW - executive functions KW - lexicon size KW - primary school Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-424935 SN - 1866-8364 IS - 537 ER - TY - JOUR A1 - Czapka, Sophia A1 - Klassert, Annegret A1 - Festman, Julia T1 - Executive Functions and Language BT - Their Differential Influence on Mono- vs. Multilingual Spelling in Primary School JF - Frontiers in Psychology N2 - We aimed at unveiling the role of executive functions (EFs) and language-related skills in spelling for mono- versus multilingual primary school children. We focused on EF and language-related skills, in particular lexicon size and phonological awareness (PA), because these factors were found to predict spelling in studies predominantly conducted with monolinguals, and because multilingualism can modulate these factors. There is evidence for (a) a bilingual advantage in EF due to constant high cognitive demands through language control, (b) a smaller mental lexicon in German and (c) possibly better PA. Multilinguals in Germany show on average poorer German language proficiency, what can influence performance on language-based tasks negatively. Thus, we included two spelling tasks to tease apart spelling based on lexical knowledge (i.e., word spelling) from spelling based on non-lexical strategies (i.e., non-word spelling). Our sample consisted of heterogeneous third graders from Germany: 69 monolinguals (age: M = 108 months) and 57 multilinguals (age: M = 111 months). On less language-dependent tasks (e.g., non-word spelling, PA, intelligence, short-term memory (STM) and three EF tasks testing switching, inhibition, and working memory) performance of both groups did not differ significantly. However, multilinguals performed significantly more poorly on tasks measuring German lexicon size and word spelling than monolinguals. Regression analyses revealed that for multilinguals, inhibition was related to spelling, whereas switching was the only EF component to influence word spelling in monolinguals and non-word spelling performance in both groups. By adding lexicon size and other language-related factors to the regression models, the influence of switching was reduced to insignificant effects, but inhibition remained significant for multilinguals. Language-related skills best predicted spelling and both language groups shared those variables: PA for word spelling, and STM for non-word spelling. Additionally, multilinguals’ word spelling performance was also predicted by their German lexicon size, and non-word spelling performance by PA. This study offers an in-depth look at spelling acquisition at a certain point of literacy development. Mono- and multilinguals have the predominant factors for spelling in common, but probably due to superior language knowledge, monolinguals were already able to make use of EF during spelling. For multilinguals, German lexicon size was more important for spelling than EF. For multilinguals’ spelling these functions might come into play only at a later stage. KW - bilingualism KW - spelling KW - literacy acquisition KW - executive functions KW - lexicon size KW - primary school Y1 - 2019 U6 - https://doi.org/10.3389/fpsyg.2019.00097 SN - 1664-1078 VL - 10 PB - Frontiers Research Foundation CY - Lausanne ER - TY - GEN A1 - Zinke, Fridolin A1 - Warnke, Torsten A1 - Gäbler, Martijn A1 - Granacher, Urs T1 - Effects of Isokinetic Training on Trunk Muscle Fitness and Body Composition in World-Class Canoe Sprinters T2 - Postprints der Universität Potsdam Humanwissenschaftliche Reihe N2 - In canoe sprint, the trunk muscles play an important role in stabilizing the body in an unstable environment (boat) and in generating forces that are transmitted through the shoulders and arms to the paddle for propulsion of the boat. Isokinetic training is well suited for sports in which propulsion is generated through water resistance due to similarities in the resistive mode. Thus, the purpose of this study was to determine the effects of isokinetic training in addition to regular sport-specific training on trunk muscular fitness and body composition in world-class canoeists and to evaluate associations between trunk muscular fitness and canoe-specific performance. Nine world-class canoeists (age: 25.6 ± 3.3 years; three females; four world champions; three Olympic gold medalists) participated in an 8-week progressive isokinetic training with a 6-week block “muscle hypertrophy” and a 2-week block “muscle power.” Pre- and post-tests included the assessment of peak isokinetic torque at different velocities in concentric (30 and 140∘s-1) and eccentric (30 and 90∘s-1) mode, trunk muscle endurance, and body composition (e.g., body fat, segmental lean mass). Additionally, peak paddle force was assessed in the flume at a water current of 3.4 m/s. Significant pre-to-post increases were found for peak torque of the trunk rotators at 30∘s-1 (p = 0.047; d = 0.4) and 140∘s-1 (p = 0.014; d = 0.7) in concentric mode. No significant pre-to-post changes were detected for eccentric trunk rotator torque, trunk muscle endurance, and body composition (p > 0.148). Significant medium-to-large correlations were observed between concentric trunk rotator torque but not trunk muscle endurance and peak paddle force, irrespective of the isokinetic movement velocity (all r ≥ 0.886; p ≤ 0.008). Isokinetic trunk rotator training is effective in improving concentric trunk rotator strength in world-class canoe sprinters. It is recommended to progressively increase angular velocity from 30∘s-1 to 140∘s-1 over the course of the training period. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 536 KW - peak torque KW - canoe racing KW - core strength KW - sport-specific performance KW - elite athletes Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-424898 SN - 1866-8364 IS - 536 ER - TY - JOUR A1 - Zinke, Fridolin A1 - Warnke, Torsten A1 - Gäbler, Martijn A1 - Granacher, Urs T1 - Effects of Isokinetic Training on Trunk Muscle Fitness and Body Composition in World-Class Canoe Sprinters JF - Frontiers in Physiology N2 - In canoe sprint, the trunk muscles play an important role in stabilizing the body in an unstable environment (boat) and in generating forces that are transmitted through the shoulders and arms to the paddle for propulsion of the boat. Isokinetic training is well suited for sports in which propulsion is generated through water resistance due to similarities in the resistive mode. Thus, the purpose of this study was to determine the effects of isokinetic training in addition to regular sport-specific training on trunk muscular fitness and body composition in world-class canoeists and to evaluate associations between trunk muscular fitness and canoe-specific performance. Nine world-class canoeists (age: 25.6 ± 3.3 years; three females; four world champions; three Olympic gold medalists) participated in an 8-week progressive isokinetic training with a 6-week block “muscle hypertrophy” and a 2-week block “muscle power.” Pre- and post-tests included the assessment of peak isokinetic torque at different velocities in concentric (30 and 140∘s-1) and eccentric (30 and 90∘s-1) mode, trunk muscle endurance, and body composition (e.g., body fat, segmental lean mass). Additionally, peak paddle force was assessed in the flume at a water current of 3.4 m/s. Significant pre-to-post increases were found for peak torque of the trunk rotators at 30∘s-1 (p = 0.047; d = 0.4) and 140∘s-1 (p = 0.014; d = 0.7) in concentric mode. No significant pre-to-post changes were detected for eccentric trunk rotator torque, trunk muscle endurance, and body composition (p > 0.148). Significant medium-to-large correlations were observed between concentric trunk rotator torque but not trunk muscle endurance and peak paddle force, irrespective of the isokinetic movement velocity (all r ≥ 0.886; p ≤ 0.008). Isokinetic trunk rotator training is effective in improving concentric trunk rotator strength in world-class canoe sprinters. It is recommended to progressively increase angular velocity from 30∘s-1 to 140∘s-1 over the course of the training period. KW - peak torque KW - canoe racing KW - core strength KW - sport-specific performance KW - elite athletes Y1 - 2019 U6 - https://doi.org/10.3389/fphys.2019.00021 SN - 1664-042X VL - 10 PB - Frontiers Research Foundation CY - Lausanne ER - TY - GEN A1 - Sánchez, Alba A1 - Thomas, Christine A1 - Deeken, Friederike A1 - Wagner, Sören A1 - Klöppel, Stefan A1 - Kentischer, Felix A1 - von Arnim, Chrstine A. F. A1 - Denkinger, Michael A1 - Conzelmann, Lars O. A1 - Biermann-Stallwitz, Janine A1 - Joos, Stefanie A1 - Sturm, Heidrun A1 - Metz, Brigitte A1 - Auer, Ramona A1 - Skrobik, Yoanna A1 - Eschweiler, Gerhard W. A1 - Rapp, Michael A. T1 - Patient safety, cost-effectiveness, and quality of life BT - reduction of delirium risk and postoperative cognitive dysfunction after elective procedures in older adults—study protocol for a stepped-wedge cluster randomized trial (PAWEL Study) T2 - Postprints der Universität Potsdam Humanwissenschaftliche Reihe N2 - Background Postoperative delirium is a common disorder in older adults that is associated with higher morbidity and mortality, prolonged cognitive impairment, development of dementia, higher institutionalization rates, and rising healthcare costs. The probability of delirium after surgery increases with patients’ age, with pre-existing cognitive impairment, and with comorbidities, and its diagnosis and treatment is dependent on the knowledge of diagnostic criteria, risk factors, and treatment options of the medical staff. In this study, we will investigate whether a cross-sectoral and multimodal intervention for preventing delirium can reduce the prevalence of delirium and postoperative cognitive decline (POCD) in patients older than 70 years undergoing elective surgery. Additionally, we will analyze whether the intervention is cost-effective. Methods The study will be conducted at five medical centers (with two or three surgical departments each) in the southwest of Germany. The study employs a stepped-wedge design with cluster randomization of the medical centers. Measurements are performed at six consecutive points: preadmission, preoperative, and postoperative with daily delirium screening up to day 7 and POCD evaluations at 2, 6, and 12 months after surgery. Recruitment goals are to enroll 1500 patients older than 70 years undergoing elective operative procedures (cardiac, thoracic, vascular, proximal big joints and spine, genitourinary, gastrointestinal, and general elective surgery procedures. Discussion Results of the trial should form the basis of future standards for preventing delirium and POCD in surgical wards. Key aims are the improvement of patient safety and quality of life, as well as the reduction of the long-term risk of conversion to dementia. Furthermore, from an economic perspective, we expect benefits and decreased costs for hospitals, patients, and healthcare insurances. Trial registration German Clinical Trials Register, DRKS00013311. Registered on 10 November 2017. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 535 KW - Cross-sectoral care KW - Delirium prevention KW - Postoperative cognitive dysfunction KW - Dementia KW - Older patients KW - Elective surgery KW - Quality of life KW - Cost-effectiveness Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-424883 SN - 1866-8364 IS - 535 ER - TY - JOUR A1 - Sánchez, Alba A1 - Thomas, Christine A1 - Deeken, Friederike A1 - Wagner, Sören A1 - Klöppel, Stefan A1 - Kentischer, Felix A1 - von Arnim, Chrstine A. F. A1 - Denkinger, Michael A1 - Conzelmann, Lars O. A1 - Biermann-Stallwitz, Janine A1 - Joos, Stefanie A1 - Sturm, Heidrun A1 - Metz, Brigitte A1 - Auer, Ramona A1 - Skrobik, Yoanna A1 - Eschweiler, Gerhard W. A1 - Rapp, Michael A. T1 - Patient safety, cost-effectiveness, and quality of life BT - reduction of delirium risk and postoperative cognitive dysfunction after elective procedures in older adults—study protocol for a stepped-wedge cluster randomized trial (PAWEL Study) JF - Trials N2 - Background Postoperative delirium is a common disorder in older adults that is associated with higher morbidity and mortality, prolonged cognitive impairment, development of dementia, higher institutionalization rates, and rising healthcare costs. The probability of delirium after surgery increases with patients’ age, with pre-existing cognitive impairment, and with comorbidities, and its diagnosis and treatment is dependent on the knowledge of diagnostic criteria, risk factors, and treatment options of the medical staff. In this study, we will investigate whether a cross-sectoral and multimodal intervention for preventing delirium can reduce the prevalence of delirium and postoperative cognitive decline (POCD) in patients older than 70 years undergoing elective surgery. Additionally, we will analyze whether the intervention is cost-effective. Methods The study will be conducted at five medical centers (with two or three surgical departments each) in the southwest of Germany. The study employs a stepped-wedge design with cluster randomization of the medical centers. Measurements are performed at six consecutive points: preadmission, preoperative, and postoperative with daily delirium screening up to day 7 and POCD evaluations at 2, 6, and 12 months after surgery. Recruitment goals are to enroll 1500 patients older than 70 years undergoing elective operative procedures (cardiac, thoracic, vascular, proximal big joints and spine, genitourinary, gastrointestinal, and general elective surgery procedures. Discussion Results of the trial should form the basis of future standards for preventing delirium and POCD in surgical wards. Key aims are the improvement of patient safety and quality of life, as well as the reduction of the long-term risk of conversion to dementia. Furthermore, from an economic perspective, we expect benefits and decreased costs for hospitals, patients, and healthcare insurances. Trial registration German Clinical Trials Register, DRKS00013311. Registered on 10 November 2017. KW - Cross-sectoral care KW - Delirium prevention KW - Postoperative cognitive dysfunction KW - Dementia KW - Older patients KW - Elective surgery KW - Quality of life KW - Cost-effectiveness Y1 - 2019 U6 - https://doi.org/10.1186/s13063-018-3148-8 SN - 1468-6694 SN - 1745-6215 SN - 1468-6708 VL - 20 IS - 71 PB - BioMed Central CY - London ER - TY - GEN A1 - Lozada Gobilard, Sissi Donna A1 - Stang, Susanne A1 - Pirhofer-Walzl, Karin A1 - Kalettka, Thomas A1 - Heinken, Thilo A1 - Schröder, Boris A1 - Eccard, Jana A1 - Jasmin Radha, Jasmin T1 - Environmental filtering predicts plant‐community trait distribution and diversity BT - Kettle holes as models of meta‐community systems T2 - Postprints der Universität Potsdam Mathematisch-Naturwissenschaftliche Reihe N2 - Meta‐communities of habitat islands may be essential to maintain biodiversity in anthropogenic landscapes allowing rescue effects in local habitat patches. To understand the species‐assembly mechanisms and dynamics of such ecosystems, it is important to test how local plant‐community diversity and composition is affected by spatial isolation and hence by dispersal limitation and local environmental conditions acting as filters for local species sorting. We used a system of 46 small wetlands (kettle holes)—natural small‐scale freshwater habitats rarely considered in nature conservation policies—embedded in an intensively managed agricultural matrix in northern Germany. We compared two types of kettle holes with distinct topographies (flatsloped, ephemeral, frequently plowed kettle holes vs. steep‐sloped, more permanent ones) and determined 254 vascular plant species within these ecosystems, as well as plant functional traits and nearest neighbor distances to other kettle holes. Differences in alpha and beta diversity between steep permanent compared with ephemeral flat kettle holes were mainly explained by species sorting and niche processes and mass effect processes in ephemeral flat kettle holes. The plant‐community composition as well as the community trait distribution in terms of life span, breeding system, dispersal ability, and longevity of seed banks significantly differed between the two habitat types. Flat ephemeral kettle holes held a higher percentage of non‐perennial plants with a more persistent seed bank, less obligate outbreeders and more species with seed dispersal abilities via animal vectors compared with steep‐sloped, more permanent kettle holes that had a higher percentage of wind‐dispersed species. In the flat kettle holes, plant‐species richness was negatively correlated with the degree of isolation, whereas no such pattern was found for the permanent kettle holes. Synthesis: Environment acts as filter shaping plant diversity (alpha and beta) and plant‐community trait distribution between steep permanent compared with ephemeral flat kettle holes supporting species sorting and niche mechanisms as expected, but we identified a mass effect in ephemeral kettle holes only. Flat ephemeral kettle holes can be regarded as meta‐ecosystems that strongly depend on seed dispersal and recruitment from a seed bank, whereas neighboring permanent kettle holes have a more stable local species diversity. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 629 KW - biodiversity KW - dispersal KW - disturbance KW - landscape diversity KW - life‐history traits KW - plant diversity KW - seed bank KW - species assembly KW - wetland vegetation Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-424843 SN - 1866-8372 IS - 629 ER - TY - JOUR A1 - Lozada Gobilard, Sissi Donna A1 - Stang, Susanne A1 - Pirhofer-Walzl, Karin A1 - Kalettka, Thomas A1 - Heinken, Thilo A1 - Schröder, Boris A1 - Eccard, Jana A1 - Jasmin Radha, Jasmin T1 - Environmental filtering predicts plant‐community trait distribution and diversity BT - Kettle holes as models of meta‐community systems JF - Ecology and Evolution N2 - Meta‐communities of habitat islands may be essential to maintain biodiversity in anthropogenic landscapes allowing rescue effects in local habitat patches. To understand the species‐assembly mechanisms and dynamics of such ecosystems, it is important to test how local plant‐community diversity and composition is affected by spatial isolation and hence by dispersal limitation and local environmental conditions acting as filters for local species sorting. We used a system of 46 small wetlands (kettle holes)—natural small‐scale freshwater habitats rarely considered in nature conservation policies—embedded in an intensively managed agricultural matrix in northern Germany. We compared two types of kettle holes with distinct topographies (flatsloped, ephemeral, frequently plowed kettle holes vs. steep‐sloped, more permanent ones) and determined 254 vascular plant species within these ecosystems, as well as plant functional traits and nearest neighbor distances to other kettle holes. Differences in alpha and beta diversity between steep permanent compared with ephemeral flat kettle holes were mainly explained by species sorting and niche processes and mass effect processes in ephemeral flat kettle holes. The plant‐community composition as well as the community trait distribution in terms of life span, breeding system, dispersal ability, and longevity of seed banks significantly differed between the two habitat types. Flat ephemeral kettle holes held a higher percentage of non‐perennial plants with a more persistent seed bank, less obligate outbreeders and more species with seed dispersal abilities via animal vectors compared with steep‐sloped, more permanent kettle holes that had a higher percentage of wind‐dispersed species. In the flat kettle holes, plant‐species richness was negatively correlated with the degree of isolation, whereas no such pattern was found for the permanent kettle holes. Synthesis: Environment acts as filter shaping plant diversity (alpha and beta) and plant‐community trait distribution between steep permanent compared with ephemeral flat kettle holes supporting species sorting and niche mechanisms as expected, but we identified a mass effect in ephemeral kettle holes only. Flat ephemeral kettle holes can be regarded as meta‐ecosystems that strongly depend on seed dispersal and recruitment from a seed bank, whereas neighboring permanent kettle holes have a more stable local species diversity. KW - biodiversity KW - dispersal KW - disturbance KW - landscape diversity KW - life‐history traits KW - plant diversity KW - seed bank KW - species assembly KW - wetland vegetation Y1 - 2019 U6 - https://doi.org/10.1002/ece3.4883 SN - 2045-7758 PB - John Wiley & Sons, Inc. CY - Hoboken ER - TY - GEN A1 - Schneider, Birgit A1 - Walsh, Lynda T1 - The politics of zoom BT - Problems with downscaling climate visualizations T2 - Postprints der Universität Potsdam Philosophische Reihe N2 - Following the mandate in the Paris Agreement for signatories to provide “climate services” to their constituents, “downscaled” climate visualizations are proliferating. But the process of downscaling climate visualizations does not neutralize the political problems with their synoptic global sources—namely, their failure to empower communities to take action and their replication of neoliberal paradigms of globalization. In this study we examine these problems as they apply to interactive climate‐visualization platforms, which allow their users to localize global climate information to support local political action. By scrutinizing the political implications of the “zoom” tool from the perspective of media studies and rhetoric, we add to perspectives of cultural cartography on the issue of scaling from our fields. Namely, we break down the cinematic trope of “zooming” to reveal how it imports the political problems of synopticism to the level of individual communities. As a potential antidote to the politics of zoom, we recommend a downscaling strategy of connectivity, which associates rather than reduces situated views of climate to global ones. T3 - Zweitveröffentlichungen der Universität Potsdam : Philosophische Reihe - 159 KW - climate change KW - climate services KW - climate visualization KW - connectivity KW - downscaling KW - spherical KW - synopticism KW - zoom Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-424819 SN - 1866-8380 IS - 159 ER - TY - JOUR A1 - Schneider, Birgit A1 - Walsh, Lynda T1 - The politics of zoom BT - Problems with downscaling climate visualizations JF - Geo: Geography and Environment N2 - Following the mandate in the Paris Agreement for signatories to provide “climate services” to their constituents, “downscaled” climate visualizations are proliferating. But the process of downscaling climate visualizations does not neutralize the political problems with their synoptic global sources—namely, their failure to empower communities to take action and their replication of neoliberal paradigms of globalization. In this study we examine these problems as they apply to interactive climate‐visualization platforms, which allow their users to localize global climate information to support local political action. By scrutinizing the political implications of the “zoom” tool from the perspective of media studies and rhetoric, we add to perspectives of cultural cartography on the issue of scaling from our fields. Namely, we break down the cinematic trope of “zooming” to reveal how it imports the political problems of synopticism to the level of individual communities. As a potential antidote to the politics of zoom, we recommend a downscaling strategy of connectivity, which associates rather than reduces situated views of climate to global ones. KW - climate change KW - climate services KW - climate visualization KW - connectivity KW - downscaling KW - spherical KW - synopticism KW - zoom Y1 - 2019 U6 - https://doi.org/10.1002/geo2.70 SN - 2054-4049 VL - 6 IS - 1 PB - Wiley-Blackwell CY - Hoboken ER - TY - THES A1 - Böhne, Sebastian T1 - Different degrees of formality T1 - Verschiedene Formalitätsgrade BT - an introduction to the concept and a demonstration of its usefulness BT - Vorstellung des Konzepts und Nachweis seiner Nützlichkeit N2 - In this thesis we introduce the concept of the degree of formality. It is directed against a dualistic point of view, which only distinguishes between formal and informal proofs. This dualistic attitude does not respect the differences between the argumentations classified as informal and it is unproductive because the individual potential of the respective argumentation styles cannot be appreciated and remains untapped. This thesis has two parts. In the first of them we analyse the concept of the degree of formality (including a discussion about the respective benefits for each degree) while in the second we demonstrate its usefulness in three case studies. In the first case study we will repair Haskell B. Curry's view of mathematics, which incidentally is of great importance in the first part of this thesis, in light of the different degrees of formality. In the second case study we delineate how awareness of the different degrees of formality can be used to help students to learn how to prove. Third, we will show how the advantages of proofs of different degrees of formality can be combined by the development of so called tactics having a medium degree of formality. Together the three case studies show that the degrees of formality provide a convincing solution to the problem of untapped potential. N2 - In dieser Dissertation stellen wir das Konzept der Formalitätsgrade vor, welches sich gegen eine dualistische Sichtweise richtet, die nur zwischen formalen und informalen Beweisen unterscheidet. Letztere Sichtweise spiegelt nämlich die Unterschiede zwischen den als informal klassifizierten Argumentationen nicht wieder und ist außerdem unproduktiv, weil sie nicht in der Lage ist, das individuelle Potential der jeweiligen Argumentationsstile wertzuschätzen und auszuschöpfen. Die Dissertation hat zwei Teile. Im ersten analysieren wir das Konzept der Formalitätsgrade (eine Diskussion über die Vorteile der jeweiligen Grade eingeschlossen), während wir im zweiten Teil die Nützlichkeit der Formalitätsgrade anhand von drei Fallbeispielen nachweisen. Im ersten von diesen werden wir Haskell B. Currys Sichtweise zur Mathematik, die nebenbei bemerkt von größter Wichtigkeit für den ersten Teil der Dissertation ist, mithilfe der verschiedenen Formalitätsgrade reparieren. Im zweiten Fallbeispiel zeigen wir auf, wie die Beachtung der verschiedenen Formalitätsgrade den Studenten dabei helfen kann, das Beweisen zu erlernen. Im letzten Fallbeispiel werden wir dann zeigen, wie die Vorteile von Beweisen verschiedener Formalitätsgrade durch die Anwendung sogenannter Taktiken mittleren Formalitätsgrades kombiniert werden können. Zusammen zeigen die drei Fallbeispiele, dass die Formalitätsgrade eine überzeugende Lösung für das Problem des ungenutzten Potentials darstellen. KW - argumentation KW - Coq KW - Curry KW - degree of formality KW - formalism KW - logic KW - mathematics education KW - philosophy of mathematics KW - proof KW - proof assistant KW - proof environment KW - tactic KW - Argumentation KW - Beweis KW - Beweisassistent KW - Beweisumgebung KW - Coq KW - Curry KW - Formalismus KW - Formalitätsgrad KW - Logik KW - Mathematikdidaktik KW - Mathematikphilosophie KW - Taktik Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-423795 N1 - CCS -> Applied computing -> Education -> Interactive learning environments CCS -> Theory of computation -> Logic CCS -> Computing methodologies -> Symbolic and algebraic manipulation -> Symbolic and algebraic algorithms -> Theorem proving algorithms ER - TY - THES A1 - Jadhav Sudam, Sagar T1 - Metabolic regulation and key genes of tomato secondary metabolism T1 - Stoffwechselregulation und Schlüsselgene des Sekundärstoffwechsels in Tomaten N2 - Domestication syndrome has resulted in the large loss of genetic variation of crop plants. Because of such genetic loss, productivity of various beneficial secondary (specialized) metabolites that protect against abiotic/biotic stresses, has been narrowed in many domesticated crops. Many key regulators or structural genes of secondary metabolic pathways in the domesticated as well as wild tomatoes are still largely unknown. In recent studies, metabolic quantitative trait loci (mQTL) analysis using the population of introgression lines (ILs), each containing a single introgression from Solanum pennellii (wild tomato) in the genetic background of domesticated tomato (M82, Solanum lycopersicum), has been used for investigation of metabolic regulation and key genes involved in both primary and secondary metabolism. In this thesis, three research projects, i) understanding of metabolic linkage between branched chain amino acids (BCAAs) and secondary metabolism using antisense lines of BCAAs metabolic genes, ii) investigation of novel key genes involved in tomato secondary metabolism and fruit ripening, iii) mapping of drought stress responsive mQTLs in tomato, are presented and discussed. In the first part, metabolic linkage between leucine and secondary metabolism is investigated by analyzing antisense lines of four key genes (ketol-acid reductoisomerase, KARI; dihydroxy-acid dehydratase, DHAD; isopropylmalate dehydratase, IPMD and branched chain aminotransferases1, BCAT1) found previously in mQTL of leucine contents. Obtained results indicate that KARI might be a rate limiting enzyme for iC5 acyl-sucrose synthesis in young leaf but not in red ripe fruits. By integrating obtained results with previous reports, inductive metabolic linkage between BCAAs and other secondary metabolic pathways at DHAD transcriptional levels in fruit is proposed. In the second part, candidate genes that are involved in secondary metabolism and fruit ripening in tomato were found by the approach of expression quantitative trait loci (eQTL) analysis. To predict functions of those candidate genes, functional validation by virus induced gene silencing and transient overexpression were performed. Results obtained by analyzing T0 overexpression and artificial miRNA lines for some of those candidates confirm their predicted functions, for example involved in fruit ripening (WD40, Solyc04g005020) and iC5 acyl-sucrose synthesis (P450, Solyc03g111940). In the third part, mapping of drought stress responsive mQTLs was performed using 57 S. pennellii ILs population. Evaluation of genetic architecture of mQTL analysis resulted in identifying drought responsive ILs (11-2, 8-3-1, 10-1-1 and 3-1). Location of well characterized regulators in these ILs helped to filter potential new key genes involved in drought stress tolerance. Obtained results suggests us our approaches could be viable for narrowing down potential candidates involved in creating interspecific variation in secondary metabolite content and at the level of fruit ripening. N2 - Das Domestikationssyndrom hat zu einem großen Verlust an genetischer Variation von Kulturpflanzen geführt. Aufgrund dieses genetischen Verlustes ist die Produktivität verschiedener nützlicher, sekundärer (spezialisierter) Metabolite, die gegen abiotische/biotische Belastungen schützen, in vielen domestizierten Nutzpflanzen eingeschränkt worden. Viele Schlüsselregulatoren oder Strukturgene des Sekundärstoffwechsels sind sowohl in den domestizierten als auch in den wilden Tomaten noch weitgehend unbekannt. In neueren Studien wurde die mQTL-Analyse (metabolic quantitative trait loci) durchgeführt, unter Verwendung der Solanum pennellii Introgressionslinienpopulation (ILs), um Stoffwechselregulation und Schlüsselgene zu untersuchen, die sowohl am Primär- als auch am Sekundärstoffwechsel beteiligt sind. In dieser Doktorarbeit werden drei Forschungsprojekte vorgestellt und diskutiert, i) Verständnis der metabolischen Verbindung zwischen verzweigtkettigen Aminosäuren (BCAAs branched-chain amino acids) und dem Sekundärstoffwechsel unter Verwendung von Antisense-Linien von metabolischen Genen der BCAAs, ii) Untersuchung neuer Schlüsselgene im Tomaten-Sekundärstoffwechsel und Fruchtreifung, iii ) Kartierung mQTLs in Tomaten, die auf Trockenstress ansprechen. Im ersten Teil wird die metabolische Verknüpfung zwischen Leucin und dem Sekundärmetabolismus untersucht, indem Antisense-Linien von vier Schlüsselgenen (Ketol-Säure-Reduktoisomerase, KARI; Dihydroxysäuredehydratase, DHAD; Isopropylmalatdehydratase, IPMD und verzweigtkettige Aminotransferasen1, BCAT1) untersucht werden, die in mQTLs für den Leucingehalt gefunden wurden. Die Ergebnisse weisen darauf hin, dass KARI ein geschwindigkeitslimitierendes Enzym für die iC5-Acyl-Saccharosesynthese in jungen Blättern, aber nicht in roten reifen Früchten sein könnte. Durch Integration der erhaltenen Ergebnisse mit früheren Berichten wird eine induktive metabolische Verbindung zwischen BCAAs und anderen sekundären Stoffwechselwegen auf DHAD-Transkriptionsebene in Früchten vorgeschlagen. Im zweiten Teil wurden Kandidatengene gefunden, die am sekundären Metabolismus und der Fruchtreife von Tomaten beteiligt sind, durch den Ansatz der eQTL-Analyse (expression QTL). Um die Funktionen dieser Kandidatengene vorherzusagen, wurde eine funktionelle Validierung durch virusinduziertes Gen-Silencing und transiente Überexpression durchgeführt. Ergebnisse, die durch Analyse von T0-Überexpressions- und künstlichen miRNA-Linien für einige dieser Kandidatengene erhalten wurden, bestätigen ihre vorhergesagten Funktionen, z. B. Beteiligt an Fruchtreifung (WD40, Solyc04g005020) und iC5-Acylsaccharosesynthese (P450, Solyc03g111940). Im dritten Teil wurde die Kartierung von auf Trockenstress ansprechenden mQTLs unter Verwendung von 57 S. pennellii-IL-Populationen durchgeführt. Die Evaluierung der genetischen Architektur der mQTL-Analyse führte zur Identifizierung von ILs, die auf Trockenheit ansprechen (11-2, 8-3-1, 10-1-1 und 3-1). Die Position gut charakterisierter Regulatoren in diesen ILs half dabei, potenzielle neue Schlüsselregulatoren, die an der Toleranz gegenüber Trockenstress beteiligt sind, heraus zu filtern. Die erhaltenen Ergebnisse legen nahe, dass unsere Ansätze geeignet sein könnten, potentielle Kandidatengene einzugrenzen, die interspezifische Unterschiede im Sekundärmetabolitengehalt verursachen. KW - metabolic regulation KW - expression Quantitative Trait Loci KW - metabolic Quantitative Trait Loci KW - branched chain amino acids KW - Introgression Lines KW - Stoffwechselregulation KW - verzweigtkettige Aminosäuren Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-424478 ER - TY - THES A1 - Wolf, Mathias Johannes T1 - The role of partial melting on trace element and isotope systematics of granitic melts T1 - Die Bedeutung partieller Schmelzbildung für die Spurenelement- und Isotopensystematik granitischer Schmelzen N2 - Partial melting is a first order process for the chemical differentiation of the crust (Vielzeuf et al., 1990). Redistribution of chemical elements during melt generation crucially influences the composition of the lower and upper crust and provides a mechanism to concentrate and transport chemical elements that may also be of economic interest. Understanding of the diverse processes and their controlling factors is therefore not only of scientific interest but also of high economic importance to cover the demand for rare metals. The redistribution of major and trace elements during partial melting represents a central step for the understanding how granite-bound mineralization develops (Hedenquist and Lowenstern, 1994). The partial melt generation and mobilization of ore elements (e.g. Sn, W, Nb, Ta) into the melt depends on the composition of the sedimentary source and melting conditions. Distinct source rocks have different compositions reflecting their deposition and alteration histories. This specific chemical “memory” results in different mineral assemblages and melting reactions for different protolith compositions during prograde metamorphism (Brown and Fyfe, 1970; Thompson, 1982; Vielzeuf and Holloway, 1988). These factors do not only exert an important influence on the distribution of chemical elements during melt generation, they also influence the volume of melt that is produced, extraction of the melt from its source, and its ascent through the crust (Le Breton and Thompson, 1988). On a larger scale, protolith distribution and chemical alteration (weathering), prograde metamorphism with partial melting, melt extraction, and granite emplacement are ultimately depending on a (plate-)tectonic control (Romer and Kroner, 2016). Comprehension of the individual stages and their interaction is crucial in understanding how granite-related mineralization forms, thereby allowing estimation of the mineralization potential of certain areas. Partial melting also influences the isotope systematics of melt and restite. Radiogenic and stable isotopes of magmatic rocks are commonly used to trace back the source of intrusions or to quantify mixing of magmas from different sources with distinct isotopic signatures (DePaolo and Wasserburg, 1979; Lesher, 1990; Chappell, 1996). These applications are based on the fundamental requirement that the isotopic signature in the melt reflects that of the bulk source from which it is derived. Different minerals in a protolith may have isotopic compositions of radiogenic isotopes that deviate from their whole rock signature (Ayres and Harris, 1997; Knesel and Davidson, 2002). In particular, old minerals with a distinct parent-to-daughter (P/D) ratio are expected to have a specific radiogenic isotope signature. As the partial melting reaction only involves selective phases in a protolith, the isotopic signature of the melt reflects that of the minerals involved in the melting reaction and, therefore, should be different from the bulk source signature. Similar considerations hold true for stable isotopes. N2 - Partielle Schmelzbildung ist ein zentraler Prozess für die geochemische Differentiation der Erdkruste (Vielzeuf et al., 1990). Die Umverteilung chemischer Elemente während der Schmelzbildung beeinflusst die Zusammensetzung der oberen und unteren Erdkruste entscheidend und stellt einen Mechanismus zur Konzentration und zum Transport chemischer Elemente dar. Das Verständnis der diversen Prozesse und der kontrollierenden Faktoren ist deshalb nicht nur von wissenschaftlichem Interesse sondern auch von ökonomischer Bedeutung um die Nachfrage für seltene Metalle zu decken. Die Umverteilung von Haupt- und Spurenelementen während des partiellen Aufschmelzens ist ein entscheidender Schritt für das Verständnis wie sich granitgebundene Lagerstätten bilden (Hedenquist and Lowenstern, 1994). Die Schmelzbildung und die Mobilisierung von Erz-Elementen (z. B. Sn, W, Nb, Ta) in die Schmelze hängt von der Zusammensetzung der sedimentären Ausgangsgesteine und den Schmelzbedingungen ab. Verschiedene Ausgangsgesteine haben aufgrund ihrer Ablagerungs- und Verwitterungsgeschichte unterschiedliche Zusammensetzungen. Dieses spezifische geochemische „Gedächtnis“ resultiert in unterschiedlichen Mineralparagenesen und Schmelzreaktionen in verschiedenen Ausgangsgesteinen während der prograden Metamorphose. (Brown and Fyfe, 1970; Thompson, 1982; Vielzeuf and Holloway, 1988). Diese Faktoren haben nicht nur einen wichtigen Einfluss auf die Verteilung chemischer Elemente während der Schmelzbildung, sie beeinflussen auch das Volumen an Schmelze, die Extraktion der Schmelze aus dem Ausgangsgestein und deren Aufstieg durch die Erdkruste (Le Breton and Thompson, 1988). Auf einer grösseren Skala unterliegen die Verteilung der Ausgangsgesteine und deren chemische Alteration (Verwitterung), die prograde Metamorphose mit partieller Schmelzbildung, Schmelzextraktion und die Platznahme granitischer Intrusionen einer plattentektonischen Kontrolle. Das Verständnis der einzelnen Schritte und deren Wechselwirkungen ist entscheidend um zu verstehen wie granitgebunden Lagerstätten entstehen und erlaubt es, das Mineralisierungspotential bestimmter Gebiete abzuschätzen. Partielles Aufschmelzen beeinflusst auch die Isotopensystematik der Schmelze und des Restites. Die Zusammensetzungen radiogener und stabiler Isotopen von magmatischen Gesteinen werden im Allgemeinen dazu verwendet um deren Ursprungsgesteine zu identifizieren oder um Mischungsprozesses von Magmen unterschiedlichen Ursprunges zu quantifizieren (DePaolo and Wasserburg, 1979; Lesher, 1990; Chappell, 1996). Diese Anwendungen basieren auf der fundamentalen Annahme, dass die Isotopenzusammensetzung der Schmelze derjenigen des Ausgangsgesteines entspricht. Unterschiedliche Minerale in einem Gestein können unterschiedliche, vom Gesamtgestein abweichende, Isotopenzusammensetzungen haben (Ayres and Harris, 1997; Knesel and Davidson, 2002). Insbesondere für alte Minerale, mit einem unterschiedlichen Mutter-Tochter Nuklidverhältnis, ist eine spezifische Isotopenzusammensetzung zu erwarten. Da im partiellen Schmelzprozess nur bestimmte Minerale eines Gesteines involviert sind, entspricht die Isotopenzusammensetzung der Schmelze derjenigen der Minerale welche an der Schmelzreaktion teilnehmen. Daher sollte die Isotopenzusammensetzung der Schmelze von derjenigen des Ursprungsgesteines abweichen. Ähnliche Überlegungen treffen auch für stabile Isotopen zu. KW - geochemistry KW - trace elements KW - radiogenic isotopes KW - stable isotopes KW - resources KW - Sn Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-423702 ER - TY - CHAP A1 - Thorau, Christian T1 - "What ought to be heard" : touristic listening and the guided ear T2 - The Oxford handbook of music listening in the 19th and 20th centuries Y1 - 2019 SN - 978-0-19-046696-1 SP - 207 EP - 227 PB - Oxford University Press CY - New York ER - TY - BOOK ED - Thorau, Christian ED - Ziemer, Hansjacob T1 - The Oxford handbook of music listening in the 19th and 20th centuries N2 - An idealized image of European concert-goers has long prevailed in historical overviews of the nineteenth and twentieth centuries. This act of listening was considered to be an invisible and amorphous phenomenon, a naturally given mode of perception. This narrative influenced the conditions of listening from the selection of repertoire to the construction of concert halls and programmes. However, as listening moved from the concert hall to the opera house, street music, and jazz venues, new and visceral listening traditions evolved. In turn, the art of listening was shaped by phenomena of the modern era including media innovation and commercialization. This Handbook asks whether, how, and why practices of music listening changed as the audience moved from pleasure gardens and concert venues in the eighteenth century to living rooms in the twentieth century, and mobile devices in the twenty-first. Through these questions, chapters enable a differently conceived history of listening and offer an agenda for future research. Y1 - 2019 SN - 978-0-19-046696-1 PB - Oxford University Press CY - New York ER - TY - RPRT A1 - Roggeband, Conny T1 - International women’s rights BT - Progress under attack? T2 - KFG Working Paper Series N2 - This paper explores current contestations of women’s rights and the implications thereof for international legislation. While contestation over women’s rights is a far from new phenomenon, over the past two decades opposition to gender equality has become better organized at the transnational level, mobilizing a dispersed set of state and non-state actors, and is becoming more successful in halting the progress of women’s rights. I argue that the position of oppositional actors vis-à-vis women rights activism appears to be strengthened by two recent political developments: democratic backsliding and the closure of civic space. Some preliminary findings show how these interrelated developments lead to an erosion of women’s rights at the national level. Governments use low key tactics to dismantle institutional and implementation arrangements and sideline women’s organisations. Next, I explore the implications of these developments for gender equality norms at the national and international level. The active strategy of counter norming adopted by conservative and religious state and non-state actors, designed to circumvent and also undermine Western norms, is increasingly successful. In addition to this, the threatened position of domestic actors monitoring compliance of international treaties, makes the chances of backsliding on international commitments much higher. T3 - KFG Working Paper Series - 26 Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-423887 SN - 2509-3770 SN - 2509-3762 IS - 26 ER - TY - RPRT A1 - de Wet, Erika T1 - Entrenching international values through positive law BT - The (limited) effect of peremptory norms T2 - KFG Working Paper Series N2 - Underpinning a legal system with certain values and helping to resolve norm conflicts is in domestic legal systems usually achieved through hierarchical superiority of certain norms of a constitutional nature. The present paper examines the question whether jus cogens can discharge this function within the traditionally horizontal and decentralized international legal order. In so doing, it commences with an overview of the historical origins of peremptory norms in legal scholarship, followed by its endorsement by positive law and courts and tribunals. This analysis illustrates that there are lingering uncertainties pertaining to the process of identification of peremptory norms. Even so, the concept has been invoked in State executive practice (although infrequently) and has been endorsed by various courts. However, such invocation thus far has had a limited impact from a legal perspective. It was mainly confined to a strengthened moral appeal and did in particular not facilitate the resolution of norm conflicts. The contribution further suggests that this limited impact results from the fact that the content of peremptory obligations is either very narrow or very vague. This, in turn, implies a lack of consensus amongst States regarding the content (scope) of jus cogens, including the values underlying these norms. As a result, it is questionable whether the construct of jus cogens is able to provide meaningful legal protection against the erosion of legal norms. It is too rudimentary in character to entrench and stabilize core human rights values as the moral foundation of the international legal order. T3 - KFG Working Paper Series - 25 Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-423859 SN - 2509-3770 SN - 2509-3762 IS - 25 ER - TY - THES A1 - Al Nakeeb, Noah T1 - Self-assembly and crosslinking approaches of double hydrophilic linear-brush block copolymers BT - a biocompatible platform for the next generation of nanoreactors Y1 - 2019 ER - TY - THES A1 - Küçükgöze, Gökhan T1 - Purification and characterization of mouse aldehyde oxidases T1 - Aufreinigung und Charakterisierung von Maus-Aldehyd-Oxidasen N2 - Mouse aldehyde oxidases (mAOXs) have a homodimeric structure and belong to xanthine oxidase family of molybdo-flavoenzymes. In general, each dimer is characterized by three subdomains: a 20 kDa N-terminal 2x[2Fe2S] cluster containing domain, a 40 kDa central FAD-containing domain and an 85 kDa C-terminal molybdenum cofactor (Moco) containing domain. Aldehyde oxidases have a broad substrate specificity including the oxidation of different aldehydes and N-heterocyclic compounds. AOX enzymes are present in mainly all eukaryotes. Four different homologs of AOX were identified to be present with varying numbers among species and rodents like mice and rats contain the highest number of AOX isoenzymes. There are four identified homologs in mouse named mAOX1, mAOX3, mAOX2, and mAOX4. The AOX homologs in mice are expressed in a tissue-specific manner. Expression of mAOX1 and mAOX3 are almost superimposable and predominantly synthesized in liver, lung, and testis. The richest source of mAOX4 is the Harderian gland, which is found within the eye's orbit in tetrapods. Expression of mAOX2 is strictly restricted to the Bowman’s gland, the main secretory organ of the nasal mucosa. In this study, the four catalytically active mAOX enzymes were expressed in a heterologous expression system in Escherichia coli and purified in a catalytically active form. Thirty different structurally related aromatic, aliphatic and N-heterocyclic compounds were used as substrates, and the kinetic parameters of all four mAOX enzymes were directly compared. The results showed that all enzymes can catalyze a broad range of substrates. Generally, no major differences between mAOX1, mAOX3 and mAOX2 were identified and the substrate specificity of mAOX1, mAOX3, and mAOX2 was broader compared to that of mAOX4 since mAOX4 showed no activity with substrates like methoxy-benzaldehydes, phenanthridine, N1-methyl-nicotinamide, and cinnamaldehyde and 4-(dimethylamino)cinnamaldehyde. We investigated differences at the flavin site of the mAOX enzymes by measuring the ability of the four mAOX enzymes to oxidize NADH in the absence of oxygen. NADH was able to reduce only mAOX3. The four mouse AOXs are also characterized by quantitative differences in their ability to produce superoxide radicals. mAOX2 is the enzyme generating the largest rate of superoxide radicals of around 40% in relation to moles of substrate converted and it is followed by mAOX1 with a ratio of 30%. To understand the factors that contribute to the substrate specificity of mAOX4, site-directed mutagenesis was applied to substitute amino acids in the substrate-binding funnel by the ones present in mAOX1, mAOX3, and mAOX2. The amino acids Val1016, Ile1018 and Met1088 were selected as targets. An increase in activity was obtained by the amino acid exchange M1088V in the active site identified to be specific for mAOX4, to the amino acid identified in mAOX3. N2 - Mouse aldehyde oxidases (mAOXs) have a homodimeric structure and belong to xanthine oxidase family of molybdo-flavoenzymes. In general, each dimer is characterized by three subdomains: a 20 kDa N-terminal 2x[2Fe2S] cluster containing domain, a 40 kDa central FAD-containing domain and an 85 kDa C-terminal molybdenum cofactor (Moco) containing domain. Aldehyde oxidases have a broad substrate specificity including the oxidation of different aldehydes and N-heterocyclic compounds. AOX enzymes are present in mainly all eukaryotes. Four different homologs of AOX were identified to be present with varying numbers among species and rodents like mice and rats contain the highest number of AOX isoenzymes. There are four identified homologs in mouse named mAOX1, mAOX3, mAOX2, and mAOX4. The AOX homologs in mice are expressed in a tissue-specific manner. Expression of mAOX1 and mAOX3 are almost superimposable and predominantly synthesized in liver, lung, and testis. The richest source of mAOX4 is the Harderian gland, which is found within the eye's orbit in tetrapods. Expression of mAOX2 is strictly restricted to the Bowman’s gland, the main secretory organ of the nasal mucosa. In this study, the four catalytically active mAOX enzymes were expressed in a heterologous expression system in Escherichia coli and purified in a catalytically active form. Thirty different structurally related aromatic, aliphatic and N-heterocyclic compounds were used as substrates, and the kinetic parameters of all four mAOX enzymes were directly compared. The results showed that all enzymes can catalyze a broad range of substrates. Generally, no major differences between mAOX1, mAOX3 and mAOX2 were identified and the substrate specificity of mAOX1, mAOX3, and mAOX2 was broader compared to that of mAOX4 since mAOX4 showed no activity with substrates like methoxy-benzaldehydes, phenanthridine, N1-methyl-nicotinamide, and cinnamaldehyde and 4-(dimethylamino)cinnamaldehyde. We investigated differences at the flavin site of the mAOX enzymes by measuring the ability of the four mAOX enzymes to oxidize NADH in the absence of oxygen. NADH was able to reduce only mAOX3. The four mouse AOXs are also characterized by quantitative differences in their ability to produce superoxide radicals. mAOX2 is the enzyme generating the largest rate of superoxide radicals of around 40% in relation to moles of substrate converted and it is followed by mAOX1 with a ratio of 30%. To understand the factors that contribute to the substrate specificity of mAOX4, site-directed mutagenesis was applied to substitute amino acids in the substrate-binding funnel by the ones present in mAOX1, mAOX3, and mAOX2. The amino acids Val1016, Ile1018 and Met1088 were selected as targets. An increase in activity was obtained by the amino acid exchange M1088V in the active site identified to be specific for mAOX4, to the amino acid identified in mAOX3. KW - aldehyde oxidase KW - drug metabolism KW - molybdenum cofactor KW - enzyme isoforms KW - enzyme kinetics KW - Aldehyd-oxidase KW - Metabolismus von Medikamenten KW - Molybdänkofaktor KW - Isoenzyme KW - Enzymkinetik Y1 - 2019 ER - TY - THES A1 - Victor, Vincent T1 - The Role of Bargaining Power T1 - Die Rolle der Verhandlungsmacht BT - How Unions Affect Income Distribution BT - Der Einfluss der Gewerkschaften auf die Einkommensverteilung T2 - Potsdam Economic Papers N2 - Neoclassical theory omits the role of bargaining power in the determination of wages. As a result, the importance of changes in the bargaining position for the development of income shares in the last decades is underestimated. This paper presents a theoretical argument why collective bargaining power is a main determinant of workers’ share of income and how its decline contributed to the severe changes in the distribution of income since the 1980s. In order to confirm this hypothesis, a panel data regression analysis is performed that suggests that unions significantly influence the distribution of income in developed countries. N2 - Die Verhandlungsmacht der beteiligten Akteure bei der Lohnfindung spielt in der neoklassischen Theorie nur eine untergeordnete Rolle. Dementsprechend wird auch ihre Bedeutung für die Entwicklung der Einkommensverteilung unterschätzt. Diese Arbeit präsentiert eine theoretische Argumentation, warum die kollektive Verhandlungsmacht der Arbeitnehmer einer der wichtigsten Bestimmungsfaktoren der Einkommensverteilung ist und wie der Rückgang eben dieser zu den tiefgreifenden Veränderungen in der Einkommensverteilung seit den 1980ern beigetragen hat. Die Hypothese wird durch eine Panelregression gestützt, die auf einen signifikanten Einfluss von Gewerkschaften und Tarifverhandlungen auf die Einkommensverteilung in Industrieländern in den letzten Jahrzehnten hindeutet. T3 - Potsdam Economic Papers - 6 KW - income distribution KW - bargaining power KW - wages KW - collective bargaining KW - unions KW - macroeconomics KW - Einkommensverteilung KW - Verhandlungsmacht KW - Löhne KW - Tarifverhandlungen KW - Gewerkschaften KW - Makröökonomie Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-420689 SN - 978-3-86956-449-4 SN - 2197-8069 SN - 2197-8077 IS - 6 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - GEN A1 - De Cahsan, Binia A1 - Westbury, Michael V. A1 - Drews, Hauke A1 - Tiedemann, Ralph T1 - The complete mitochondrial genome of a European fire-bellied toad (Bombina bombina) from Germany T2 - Postprints der Universität Potsdam Mathematisch-Naturwissenschaftliche Reihe N2 - The European fire-bellied toad, Bombina bombina, is a small aquatic toad belonging to the family Bombinatoridae. The species is native to the lowlands of Central and Eastern Europe, where population numbers have been in decline in recent past decades. Here, we present the first complete mitochondrial genome of the endangered European fire-bellied toad from Northern Germany recovered using iterative mapping. Phylogenetic analyses including other representatives of the Bombinatoridae placed our German specimen as sister to a Polish B. bombina sequence with high support. This finding is congruent with the postulated Pleistocene history of the species. Our complete mitochondrial genome represents an important resource for further population analysis of the European fire-bellied toad, especially those found within Germany. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 532 KW - Bombina bombina KW - Fire-bellied toad KW - mitogenome KW - conservation genetics KW - population delimitation Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-423222 SN - 1866-8372 IS - 532 ER - TY - JOUR A1 - De Cahsan, Binia A1 - Westbury, Michael V. A1 - Drews, Hauke A1 - Tiedemann, Ralph T1 - The complete mitochondrial genome of a European fire-bellied toad (Bombina bombina) from Germany JF - Mitochondrial DNA Part B N2 - The European fire-bellied toad, Bombina bombina, is a small aquatic toad belonging to the family Bombinatoridae. The species is native to the lowlands of Central and Eastern Europe, where population numbers have been in decline in recent past decades. Here, we present the first complete mitochondrial genome of the endangered European fire-bellied toad from Northern Germany recovered using iterative mapping. Phylogenetic analyses including other representatives of the Bombinatoridae placed our German specimen as sister to a Polish B. bombina sequence with high support. This finding is congruent with the postulated Pleistocene history of the species. Our complete mitochondrial genome represents an important resource for further population analysis of the European fire-bellied toad, especially those found within Germany. KW - Bombina bombina KW - Fire-bellied toad KW - mitogenome KW - conservation genetics KW - population delimitation Y1 - 2019 U6 - https://doi.org/10.1080/23802359.2018.1547143 SN - 2380-2359 VL - 4 IS - 1 SP - 498 EP - 500 PB - Taylor & Francis Group CY - London ER - TY - GEN A1 - Fischer, Martin H. A1 - Miklashevsky, Alex A. A1 - Shaki, Samuel T1 - Commentary : The Developmental Trajectory of the Operational Momentum Effect T2 - Postprints der Universität Potsdam Humanwissenschaftliche Reihe T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 502 KW - embodied cognition KW - operational momentum KW - SNARC effect KW - mental arithmetic KW - numerical cognition Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-423169 SN - 1866-8364 N1 - A Commentary on The Developmental Trajectory of the Operational Momentum Effect by Pinheiro-Chagas, P., Didino, D., Haase, V. G., Wood, G., and Knops, A. (2018). Front. Psychol. 9:1062 doi: 10.3389/fpsyg.2018.01062 IS - 502 ER - TY - GEN A1 - Reeg, Jette A1 - Heine, Simon A1 - Mihan, Christine A1 - McGee, Sean A1 - Preuss, Thomas G. A1 - Jeltsch, Florian T1 - Simulation of herbicide impacts on a plant community BT - comparing model predictions of the plant community model IBC-grass to empirical data T2 - Postprints der Universität Potsdam Mathematisch-Naturwissenschaftliche Reihe N2 - Background Semi-natural plant communities such as field boundaries play an important ecological role in agricultural landscapes, e.g., provision of refuge for plant and other species, food web support or habitat connectivity. To prevent undesired effects of herbicide applications on these communities and their structure, the registration and application are regulated by risk assessment schemes in many industrialized countries. Standardized individual-level greenhouse experiments are conducted on a selection of crop and wild plant species to characterize the effects of herbicide loads potentially reaching off-field areas on non-target plants. Uncertainties regarding the protectiveness of such approaches to risk assessment might be addressed by assessment factors that are often under discussion. As an alternative approach, plant community models can be used to predict potential effects on plant communities of interest based on extrapolation of the individual-level effects measured in the standardized greenhouse experiments. In this study, we analyzed the reliability and adequacy of the plant community model IBC-grass (individual-based plant community model for grasslands) by comparing model predictions with empirically measured effects at the plant community level. Results We showed that the effects predicted by the model IBC-grass were in accordance with the empirical data. Based on the species-specific dose responses (calculated from empirical effects in monocultures measured 4 weeks after application), the model was able to realistically predict short-term herbicide impacts on communities when compared to empirical data. Conclusion The results presented in this study demonstrate an approach how the current standard greenhouse experiments—measuring herbicide impacts on individual-level—can be coupled with the model IBC-grass to estimate effects on plant community level. In this way, it can be used as a tool in ecological risk assessment. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 528 KW - Plant community model KW - Non-target terrestrial plants KW - Community-level effects KW - Herbicide risk assessment KW - Individual-based modeling Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-423039 SN - 1866-8372 IS - 528 ER - TY - GEN A1 - Grebenkov, Denis S. A1 - Metzler, Ralf A1 - Oshanin, Gleb T1 - Strong defocusing of molecular reaction times results from an interplay of geometry and reaction control T2 - Postprints der Universität Potsdam Mathematisch-Naturwissenschaftliche Reihe N2 - Textbook concepts of diffusion-versus kinetic-control are well-defined for reaction-kinetics involving macroscopic concentrations of diffusive reactants that are adequately described by rate-constants—the inverse of the mean-first-passage-time to the reaction-event. In contradiction, an open important question is whether the mean-first-passage-time alone is a sufficient measure for biochemical reactions that involve nanomolar reactant concentrations. Here, using a simple yet generic, exactly solvable model we study the effect of diffusion and chemical reaction-limitations on the full reaction-time distribution. We show that it has a complex structure with four distinct regimes delineated by three characteristic time scales spanning a window of several decades. Consequently, the reaction-times are defocused: no unique time-scale characterises the reaction-process, diffusion- and kinetic-control can no longer be disentangled, and it is imperative to know the full reaction-time distribution. We introduce the concepts of geometry- and reaction-control, and also quantify each regime by calculating the corresponding reaction depth. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 527 Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-422989 SN - 1866-8372 IS - 527 ER - TY - GEN A1 - Molina-Garcia, Daniel A1 - Sandev, Trifce A1 - Safdari, Hadiseh A1 - Pagnini, Gianni A1 - Chechkin, Aleksei V. A1 - Metzler, Ralf T1 - Crossover from anomalous to normal diffusion BT - truncated power-law noise correlations and applications to dynamics in lipid bilayers T2 - Postprints der Universität Potsdam Mathematisch-Naturwissenschaftliche Reihe N2 - Abstract The emerging diffusive dynamics in many complex systems show a characteristic crossover behaviour from anomalous to normal diffusion which is otherwise fitted by two independent power-laws. A prominent example for a subdiffusive–diffusive crossover are viscoelastic systems such as lipid bilayer membranes, while superdiffusive–diffusive crossovers occur in systems of actively moving biological cells. We here consider the general dynamics of a stochastic particle driven by so-called tempered fractional Gaussian noise, that is noise with Gaussian amplitude and power-law correlations, which are cut off at some mesoscopic time scale. Concretely we consider such noise with built-in exponential or power-law tempering, driving an overdamped Langevin equation (fractional Brownian motion) and fractional Langevin equation motion. We derive explicit expressions for the mean squared displacement and correlation functions, including different shapes of the crossover behaviour depending on the concrete tempering, and discuss the physical meaning of the tempering. In the case of power-law tempering we also find a crossover behaviour from faster to slower superdiffusion and slower to faster subdiffusion. As a direct application of our model we demonstrate that the obtained dynamics quantitatively describes the subdiffusion–diffusion and subdiffusion–subdiffusion crossover in lipid bilayer systems. We also show that a model of tempered fractional Brownian motion recently proposed by Sabzikar and Meerschaert leads to physically very different behaviour with a seemingly paradoxical ballistic long time scaling. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 507 KW - anomalous diffusion KW - truncated power-law correlated noise KW - lipid bilayer membrane dynamics Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-422590 SN - 1866-8372 IS - 507 ER - TY - GEN A1 - Paijmans, Johanna L. A. A1 - Barlow, Axel A1 - Förster, Daniel W. A1 - Henneberger, Kirstin A1 - Meyer, Matthias A1 - Nickel, Birgit A1 - Nagel, Doris A1 - Worsøe Havmøller, Rasmus A1 - Baryshnikov, Gennady F. A1 - Joger, Ulrich A1 - Rosendahl, Wilfried A1 - Hofreiter, Michael T1 - Historical biogeography of the leopard (Panthera pardus) and its extinct Eurasian populations T2 - Postprints der Universität Potsdam Mathematisch-Naturwissenschaftliche Reihe N2 - Background Resolving the historical biogeography of the leopard (Panthera pardus) is a complex issue, because patterns inferred from fossils and from molecular data lack congruence. Fossil evidence supports an African origin, and suggests that leopards were already present in Eurasia during the Early Pleistocene. Analysis of DNA sequences however, suggests a more recent, Middle Pleistocene shared ancestry of Asian and African leopards. These contrasting patterns led researchers to propose a two-stage hypothesis of leopard dispersal out of Africa: an initial Early Pleistocene colonisation of Asia and a subsequent replacement by a second colonisation wave during the Middle Pleistocene. The status of Late Pleistocene European leopards within this scenario is unclear: were these populations remnants of the first dispersal, or do the last surviving European leopards share more recent ancestry with their African counterparts? Results In this study, we generate and analyse mitogenome sequences from historical samples that span the entire modern leopard distribution, as well as from Late Pleistocene remains. We find a deep bifurcation between African and Eurasian mitochondrial lineages (~ 710 Ka), with the European ancient samples as sister to all Asian lineages (~ 483 Ka). The modern and historical mainland Asian lineages share a relatively recent common ancestor (~ 122 Ka), and we find one Javan sample nested within these. Conclusions The phylogenetic placement of the ancient European leopard as sister group to Asian leopards suggests that these populations originate from the same out-of-Africa dispersal which founded the Asian lineages. The coalescence time found for the mitochondrial lineages aligns well with the earliest undisputed fossils in Eurasia, and thus encourages a re-evaluation of the identification of the much older putative leopard fossils from the region. The relatively recent ancestry of all mainland Asian leopard lineages suggests that these populations underwent a severe population bottleneck during the Pleistocene. Finally, although only based on a single sample, the unexpected phylogenetic placement of the Javan leopard could be interpreted as evidence for exchange of mitochondrial lineages between Java and mainland Asia, calling for further investigation into the evolutionary history of this subspecies. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 505 KW - Ancient DNA KW - Hybridisation capture KW - Leopards KW - Mitochondrial genomes KW - Mitogenomes KW - mtDNA KW - Palaeogenetics KW - Panthera pardus Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-422555 SN - 1866-8372 IS - 505 ER - TY - GEN A1 - Mueller, Juliane A1 - Stoll, Josefine A1 - Mueller, Steffen A1 - Mayer, Frank T1 - Dose-response relationship of core-specific sensorimotor interventions in healthy, welltrained participants BT - study protocol for a (MiSpEx) randomized controlled trial T2 - Postprints der Universität Potsdam Humanwissenschaftliche Reihe N2 - Background: Core-specific sensorimotor exercises are proven to enhance neuromuscular activity of the trunk, improve athletic performance and prevent back pain. However, the dose-response relationship and, therefore, the dose required to improve trunk function is still under debate. The purpose of the present trial will be to compare four different intervention strategies of sensorimotor exercises that will result in improved trunk function. Methods/design: A single-blind, four-armed, randomized controlled trial with a 3-week (home-based) intervention phase and two measurement days pre and post intervention (M1/M2) is designed. Experimental procedures on both measurement days will include evaluation of maximum isokinetic and isometric trunk strength (extension/flexion, rotation) including perturbations, as well as neuromuscular trunk activity while performing strength testing. The primary outcome is trunk strength (peak torque). Neuromuscular activity (amplitude, latencies as a response to perturbation) serves as secondary outcome. The control group will perform a standardized exercise program of four sensorimotor exercises (three sets of 10 repetitions) in each of six training sessions (30 min duration) over 3 weeks. The intervention groups’ programs differ in the number of exercises, sets per exercise and, therefore, overall training amount (group I: six sessions, three exercises, two sets; group II: six sessions, two exercises, two sets; group III: six sessions, one exercise, three sets). The intervention programs of groups I, II and III include additional perturbations for all exercises to increase both the difficulty and the efficacy of the exercises performed. Statistical analysis will be performed after examining the underlying assumptions for parametric and non-parametric testing. Discussion: The results of the study will be clinically relevant, not only for researchers but also for (sports) therapists, physicians, coaches, athletes and the general population who have the aim of improving trunk function. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 499 KW - Sensorimotor training KW - Perturbation KW - Exercise KW - MiSpEx Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-422414 SN - 1866-8364 IS - 499 ER - TY - GEN A1 - Peitz, Matti A1 - Behringer, Michael A1 - Granacher, Urs T1 - A systematic review on the effects of resistance and plyometric training on physical fitness in youth BT - What do comparative studies tell us? T2 - Postprints der Universität Potsdam Humanwissenschaftliche Reihe N2 - Introduction To date, several meta-analyses clearly demonstrated that resistance and plyometric training are effective to improve physical fitness in children and adolescents. However, a methodological limitation of meta-analyses is that they synthesize results from different studies and hence ignore important differences across studies (i.e., mixing apples and oranges). Therefore, we aimed at examining comparative intervention studies that assessed the effects of age, sex, maturation, and resistance or plyometric training descriptors (e.g., training intensity, volume etc.) on measures of physical fitness while holding other variables constant. Methods To identify relevant studies, we systematically searched multiple electronic databases (e.g., PubMed) from inception to March 2018. We included resistance and plyometric training studies in healthy young athletes and non-athletes aged 6 to 18 years that investigated the effects of moderator variables (e.g., age, maturity, sex, etc.) on components of physical fitness (i.e., muscle strength and power). Results Our systematic literature search revealed a total of 75 eligible resistance and plyometric training studies, including 5,138 participants. Mean duration of resistance and plyometric training programs amounted to 8.9 ± 3.6 weeks and 7.1±1.4 weeks, respectively. Our findings showed that maturation affects plyometric and resistance training outcomes differently, with the former eliciting greater adaptations pre-peak height velocity (PHV) and the latter around- and post-PHV. Sex has no major impact on resistance training related outcomes (e.g., maximal strength, 10 repetition maximum). In terms of plyometric training, around-PHV boys appear to respond with larger performance improvements (e.g., jump height, jump distance) compared with girls. Different types of resistance training (e.g., body weight, free weights) are effective in improving measures of muscle strength (e.g., maximum voluntary contraction) in untrained children and adolescents. Effects of plyometric training in untrained youth primarily follow the principle of training specificity. Despite the fact that only 6 out of 75 comparative studies investigated resistance or plyometric training in trained individuals, positive effects were reported in all 6 studies (e.g., maximum strength and vertical jump height, respectively). Conclusions The present review article identified research gaps (e.g., training descriptors, modern alternative training modalities) that should be addressed in future comparative studies. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 498 KW - young soccer players KW - randomized controlled-trial KW - school baseball players KW - whole-body vibratoin KW - rugby league players KW - of-direction speed KW - endurance performance KW - muscular strength KW - motor-performance Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-422201 SN - 1866-8364 IS - 498 ER - TY - THES A1 - Hoffmann, Mathias T1 - Improving measurement and modelling approaches of the closed chamber method to better assess dynamics and drivers of carbon based greenhouse gas emissions N2 - The trace gases CO2 and CH4 pertain to the most relevant greenhouse gases and are important exchange fluxes of the global carbon (C) cycle. Their atmospheric quantity increased significantly as a result of the intensification of anthropogenic activities, such as especially land-use and land-use change, since the mid of the 18th century. To mitigate global climate change and ensure food security, land-use systems need to be developed, which favor reduced trace gas emissions and a sustainable soil carbon management. This requires the accurate and precise quantification of the influence of land-use and land-use change on CO2 and CH4 emissions. A common method to determine the trace gas dynamics and C sink or source function of a particular ecosystem is the closed chamber method. This method is often used assuming that accuracy and precision are high enough to determine differences in C gas emissions for e.g., treatment comparisons or different ecosystem components. However, the broad range of different chamber designs, related operational procedures and data-processing strategies which are described in the scientific literature contribute to the overall uncertainty of closed chamber-based emission estimates. Hence, the outcomes of meta-analyses are limited, since these methodical differences hamper the comparability between studies. Thus, a standardization of closed chamber data acquisition and processing is much-needed. Within this thesis, a set of case studies were performed to: (I) develop standardized routines for an unbiased data acquisition and processing, with the aim of providing traceable, reproducible and comparable closed chamber based C emission estimates; (II) validate those routines by comparing C emissions derived using closed chambers with independent C emission estimates; and (III) reveal processes driving the spatio-temporal dynamics of C emissions by developing (data processing based) flux separation approaches. The case studies showed: (I) the importance to test chamber designs under field conditions for an appropriate sealing integrity and to ensure an unbiased flux measurement. Compared to the sealing integrity, the use of a pressure vent and fan was of minor importance, affecting mainly measurement precision; (II) that the developed standardized data processing routines proved to be a powerful and flexible tool to estimate C gas emissions and that this tool can be successfully applied on a broad range of flux data sets from very different ecosystem; (III) that automatic chamber measurements display temporal dynamics of CO2 and CH4 fluxes very well and most importantly, that they accurately detect small-scale spatial differences in the development of soil C when validated against repeated soil inventories; and (IV) that a simple algorithm to separate CH4 fluxes into ebullition and diffusion improves the identification of environmental drivers, which allows for an accurate gap-filling of measured CH4 fluxes. Overall, the proposed standardized data acquisition and processing routines strongly improved the detection accuracy and precision of source/sink patterns of gaseous C emissions. Hence, future studies, which consider the recommended improvements, will deliver valuable new data and insights to broaden our understanding of spatio-temporal C gas dynamics, their particular environmental drivers and underlying processes. N2 - Die Spurengase CO2 und CH4 gehören zu den wichtigsten atmosphärischen Treibhausgasen und sind zugleich wichtige Austauschflüsse im globalen Kohlenstoff-(C)-Kreislauf. Als Ergebnis zunehmender anthropogener Aktivitäten insbesondere auch im Bereich der Landnutzung und des Landnutzungswandel stiegen seit Mitte des 18 Jahrhunderts die atmosphärischen CO2 und CH4 Konzentrationen deutlich an. Um die zu erwartenden Auswirkungen des globalen Klimawandels abzuschwächen aber auch um die weltweite Ernährungssicherheit zu gewährleisten, bedarf es der Entwicklung neuer Landnutzungssysteme welche sich durch verminderte Treibhausgasemissionen und ein nachhaltiges Management der Bodenkohlenstoffvorrate auszeichnen. Dies erfordert die akkurate und präzise Quantifizierung des Einflusses von Landnutzung und Landnutzungswandel auf die CO2 und CH4 Emissionen. Eine gängige Methode zur Bestimmung von Spurengasemissionen und darauf aufbauend der C Senken bzw. Quellenfunktion verschiedenster Ökosysteme stellen Haubenmessungen dar. Unterschiedliche Haubendesigns, Messprozeduren und Strategien bei der Datenaufbereitung führen jedoch mitunter zu erheblichen Unsicherheiten bei den gemessenen C Emissionen. Dies kann die Aussagekraft von Metastudien maßgeblich beeinträchtigen, da die Vergleichbarkeit mittels geschlossener Hauben durchgeführter Untersuchungen nicht gewährleistet werden kann. Daher ist eine Standardisierung der Erfassung und Auswertung von Haubenmessungen dringend erforderlich. Im Rahmen dieser Arbeit wurden deshalb eine Reihe von Fallstudien durchgeführt um: (I) standardisierte Routinen zu entwickeln welche eine fehlerfreiere Datenerfassung und Bearbeitung von Haubenmessungen erlauben und so nachvollziehbare, reproduzierbare und vergleichbare C Emissionen liefern; (II) erarbeitete Routinen zu validieren indem auf geschlossenen Haubenmessungen basierende C Emissionen mit unabhängigen Daten verglichen werden; und (III) mittels entwickelter Separationsverfahren Teilflüsse präzise zu quantifizieren um Beziehungen zwischen CO2 und CH4 Flüssen und ihren Treibern besser analysieren zu können. Die durchgeführten Fallstudien zeigen: (I) die Notwendigkeit eingesetzte Hauben unter möglichst realistischen (Feld)-Bedingungen hinsichtlich ihrer Dichtigkeit (insbesondere an der Abdichtung zwischen Rahmen und Haube) zu überprüfen, da nur so fehlerfreie Messungen sichergestellt werden können; (II) das die entwickelten Routinen zur standardisierten Datenbearbeitung ein geeignetes flexibles Werkzeug darstellen um eine verlässliche Abschatzung gasförmige C Emissionen vorzunehmen; (III) das die zeitliche Dynamik von CO2 und CH4 Flüssen sowie kleinräumige Unterschiede in der Entwicklung von Bodenkohlenstoffvorraten gut mittels automatischer Haubenmesssysteme erfasst werden können (Validierung der Ergebnisse mittels wiederholter Bodeninventarisierung); und (IV) das ein einfacher Algorithmus zur Separation von CH4 in seine Flusskompartimente (blasenförmiger Massenfluss vs. Diffusion) die Identifizierung von Treibern verbessert und so ein akkurateres Füllen von Messlücken ermöglicht. Die in der Arbeit vorgestellten Routinen zur standardisierten Datenerfassung und Bearbeitung finden gegenwärtig national wie international Anwendung und helfen somit bei der Generierung vergleichbarer, akkurater und präziser Abschätzungen von standort-/ökosystemspezifischen C Emissionen. N2 - Следовые газы CO2 и CH4 относятся к наиболее значимым парниковым газам и являются важнейшими компонентами глобального углеродного (С) цикла. С середины XVIII столетия их атмосферная концентрация значительно увеличилась, в результате возросшей антропогенной деятельности, в особенности за счет такой сферы как землепользование и изменение землепользования. С целью смягчения последствий глобального изменения климата и обеспечения продовольственной безопасности, необходима разработка систем землепользования, которые будет способствовать сокращению эмиссии следовых газов и обеспечат устойчивое управление углеродными запасами почв. В свою очередь, это требует проведения аккуратной и точной количественной оценки воздействия землепользования и изменения землепользования на эмиссии CO2 и CH4. Стандартным способом для оценки динамики следовых газов и определения функции накопления или потери углерода экосистемой является метод закрытых камер. Данный метод часто используется с учетом предположения, что аккуратность и точность полученных результатов достаточно высоки, чтобы оценить разность между потоками углеродсодержащих газов. Например, при сравнении способов воздействия на экосистему либо для оценки углеродных потоков от ее компонентов. В научной литературе описано множество различных вариантов конструкций закрытых камер, связанных с ними операционных процедур и стратегий обработки данных. Это широкое разнообразие вносит свой вклад в общую неопределенность при оценке эмиссии парниковых газов методом закрытых камер. В результате, полученные на основе мета-анализа выводы обладают определенными ограничениями, т.к. методологические различия между разными исследованиями затрудняют сравнение их результатов. В связи с этим, необходимо проведение стандартизации сбора и обработки данных для методики закрытых камер. В рамках данных тезисов, был выполнен ряд тематических исследований с целью:(1) разработать для методики закрытых камер стандартизированные процедуры несмещенного сбора и обработки данных, которые позволят получить явно отслеживаемые, воспроизводимые и сопоставимые оценки углеродных потоков; (2) провести валидацию этих процедур, путем сравнения оценок потоков углерода, полученных методом закрытых камер с результатами оценки других независимых методов; (3) разработать, на основе анализа данных, способы для разделения углеродных потоков и установить процессы, регулирующие их пространственно-временную динамику. Результаты тематических исследований показали: (1) Важно проводить испытания конструкции камер на герметичность в полевых условиях и удостовериться, что измерения потоков углерода несмещенные. В сравнении с влиянием герметичности камеры, использование клапанов для выравнивания давления и вентиляторов имело несущественное значение и влияло только на точность измерений; (2) Было подтверждено, что разработанные стандартизированные методы обработки данных являются мощным и гибким инструментом оценки эмиссии углерода. На сегодняшний день эти методы успешно применяются на широком спектре разнообразных наборов данных углеродных потоков для различных типов экосистем; (3) Измерения, выполненные автоматическими закрытыми камерами, отчетливо демонстрируют временную динамику потоков CO2 и CH4 и, что наиболее важно, они хорошо выявляют мелкомасштабные пространственные различия в накоплении почвенного углерода, что было подтверждено с помощью повторяемой инвентаризации почвенных запасов углерода; (4) Простой алгоритм разделения эмиссии CH4 на потоки выбросов в виде диффузии газа и выделения в виде пузырей улучшает идентификацию экологических факторов, которые их регулируют, что позволяет более точно оценить эмиссии CH4 в периоды между измерениями. В целом предложенные стандартизированные методы сбора и обработки данных значительно увеличивают точность моделей выделения-поглощения газообразных углеродных эмиссий. Таким образом, будущие исследования, проведенные с учетом рекомендуемых усовершенствований, позволят получить новые ценные данные и гипотезы для расширения нашего понимания пространственно-временной динамики потоков углеродсодержащих газов, экологических факторов их регулирования и лежащих в их основе процессов. N2 - Le dioxyde de carbone (CO2) et le méthane (CH4) font partie des gaz à effet de serre les plus importants et sont également des éléments majeurs du cycle global du carbone. Depuis le milieu du XVIIIe siècle, leur quantité dans l’atmosphère a considérablement augmenté en raison de l'intensification des activités anthropiques, notamment l'exploitation des terres et la modification de l'utilisation de ces dernières. Afin d’atténuer les effets du changement climatique et d’assurer la sécurité alimentaire, il faut mettre au point des systèmes d’utilisation des terres qui favorisent la réduction des émissions de gaz à effet de serre ainsi qu’une gestion durable des stocks de carbone dans les sols. Cela exige une quantification exacte et précise de l'influence de l'utilisation des terres et de la modification de l'utilisation des sols sur les émissions de CO2 et de CH4. La méthode à chambre fermée est une méthode courante pour déterminer l’évolution des gaz présents à faible concentration atmosphérique et du puits de carbone, ou pour analyser la fonction primaire d'un écosystème singulier. Cette méthode est souvent utilisée en supposant que l’exactitude et la précision sont suffisamment élevées pour déterminer les différences dans les émissions de gaz à effet de serre, par exemple pour comparer les traitements ou les différentes composantes de l’écosystème. Toutefois, la vaste gamme de conceptions de chambres différentes, les procédures de mesure et les stratégies de traitement des données décrites dans la documentation scientifique contribuent à l’incertitude générale quant à l’analyse des émissions récoltées en chambre fermée. Par conséquent, les résultats des méta-analyses sont limités, car ces différences méthodologiques entravent la comparabilité des études. La standardisation de l’acquisition et du traitement des données en chambre fermée est donc indispensable. Dans le cadre de cette thèse, une série d'études de cas ont été réalisées pour: (I) élaborer des routines standardisées pour l'acquisition et le traitement de données impartiales, dans le but de fournir des estimations des émissions de carbone en chambre fermée traçables, reproductibles et comparables; (II) valider ces routines en comparant les émissions de carbone obtenues par la méthode des chambres fermées avec des estimations indépendantes des émissions de carbone; et (III) révéler les processus qui déterminent la dynamique spatio-temporelle des émissions de carbone en développant un processus de traitement de données basé sur l’approche de la séparation des flux. Les études de cas montrent: (I) l'importance de tester la conception des chambres dans des conditions de terrain pour une étanchéité appropriée et pour assurer une mesure impartiale des flux. Comparé à l'intégrité de l'étanchéité, l'utilisation d'une soupape de compensation de pression et d'un ventilateur était d'une importance mineure, affectant principalement la précision des mesures; (II) que les routines de traitement des données standardisées développées se sont avérées être un outil puissant et flexible pour estimer les émissions de carbone. L'outil est maintenant appliqué avec succès sur un large éventail de séries de données de flux provenant d'écosystèmes très différents; (III) que les mesures faites à l’aide de chambres automatiques montrent très bien la dynamique temporelle des flux CO2 et de CH4 et, surtout, qu'elles détectent avec précision les différences spatiales à petite échelle dans le développement des réserves de carbone dans le sol lorsqu'elles sont validées par des inventaires périodiques du sol; et (IV) qu’un algorithme simple pour séparer les flux de CH4 en ébullition et en diffusion améliore l'identification de facteurs environnementaux, ce qui permet de combler avec précision les données manquantes des flux de CH4 mesurés. Dans l'ensemble, les routines standardisées proposées pour l'acquisition et le traitement des données ont grandement amélioré l'exactitude de la détection des profils source/évier des émissions de carbone gazeux. Par conséquent, les études futures, qui tiennent compte des améliorations recommandées, fourniront de nouvelles données et de nouvelles perspectives précieuses pour élargir notre compréhension de la dynamique spatio-temporelle du gaz carbone, de ses moteurs environnementaux spécifiques et des processus sous-jacents. N2 - Los gases traza CO2 y CH4 pertenecen a los gases de efecto invernadero más importantes del ciclo global del carbono (C). Su concentración en la atmósfera se ha incrementado significativamente desde mediados del siglo XVIII como resultado de la intensificación de las actividades antropogénicas, como el uso del suelo y el cambio en los usos de la tierra. Para mitigar el cambio climático global y garantizar la seguridad alimentaria es necesario desarrollar sistemas de uso del suelo que favorezcan la reducción de emisiones de gases de efecto invernadero y una gestión sostenible del carbono en el suelo. Esto requiere un cálculo exacto y preciso de la influencia del uso del suelo y de los cambios en el uso del suelo en las emisiones de CO2 y CH4. Un método común para determinar las dinámicas del gas traza y la función de fuente o sumidero de C de un ecosistema es el método de las cámaras cerradas. Este método se utiliza comúnmente asumiendo que la exactitud y precisión son lo suficientemente elevadas para determinar las diferencias en la emisiones de gases C, por ejemplo, comparaciones de tratamientos o de los diferentes componentes del ecosistema. Sin embargo, la amplia gama de diseños de cámaras, los procedimientos operativos relacionados y las estrategias de procesamiento de datos descritas en la literatura científica contribuyen a la incertidumbre general de las estimaciones de emisiones basadas en cámaras cerradas. Además, los resultados de los metanálisis son limitados, ya que estas diferencias metodológicas dificultan la comparabilidad entre los estudios. Por lo tanto, la estandarización en la obtención y procesamiento de datos en el método de la cámara cerrada es muy necesaria. En esta tesis se desarrollan un conjunto de casos de estudio para: (I) Desarrollar rutinas estandarizadas para una obtención y procesamiento de datos imparcial, con el objetivo de proporcionar estimaciones de emisiones de C basadas en cámaras cerradas trazables, reproducibles y comparables; (II) Validar esas rutinas comparando las emisiones de C derivadas del método de las cámaras cerradas con estimaciones independientes de emisiones de C; y (III) revelar procesos que impulsan la dinámica espacio temporal de las emisiones de C, a través del desarrollo de un proceso de tratamiento de datos basado en el enfoque de la separación de flujos. Los casos de estudio muestran: (I) La importancia de someter a prueba el diseño de las cámaras a las condiciones de campo para una apropiada integridad del sellado y para garantizar una medición de flujo imparcial. Comparado con la integridad del sellado, el uso de la ventilación a presión y del ventilador resultó de menor importancia, afectando principalmente a la precisión de las mediciones. (II) que las rutinas estandarizadas desarrolladas para el procesamiento de datos demostraron ser una herramienta poderosa y flexible para estimar las emisiones de gases de C. La herramienta ahora se aplica con éxito en una amplia gama de conjuntos de datos de flujo de ecosistemas muy diferentes; (III) que las mediciones con cámaras automáticas muestran claramente la dinámica temporal de las emisiones de CO2 y lo más importante, que detectan con precisión diferencias espaciales a pequeña escala en el desarrollo del C en el suelo cuando se validan con inventarios periódicos del suelo ; y (IV) que un simple algoritmo para separar flujos de CH4 entre ebullición y difusión mejora la identificación de los impulsores ambientales, lo cual permite un procedimiento más exacto para el relleno del vacío de datos de las mediciones de los flujos de CH4. En términos generales puede decirse que los algoritmos de obtención y procesamiento de datos estandarizados propuestos mejoraron en gran medida la precisión de detección de los patrones fuente / sumidero de emisiones de C gaseoso. Por lo tanto, los futuros estudios, que consideren las mejoras recomendadas, ofrecerán nuevos datos y conocimientos útiles para ampliar nuestra comprensión de la dinámica espacio-temporal del C de los gases, sus impulsores ambientales específicos y los procesos subyacentes. T2 - Verbesserung von Mess- und Modellierungsansätzen der geschlossenen Haubenmessmethode zur besseren Erfassung von raumzeitlichen Veränderungen und potentiellen Treibern kohlenstoffbasierter Treibhausgasemissionen KW - greenhouse gases KW - closed chamber method KW - carbon dioxide KW - methane KW - Kohlenstoffdioxid KW - geschlossene Haubenmessmethode KW - Treibhausgase KW - Methan Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-421302 ER - TY - CHAP A1 - Hickmann, Thomas A1 - Partzsch, Lena A1 - Pattberg, Philipp H. A1 - Weiland, Sabine T1 - Conclusion BT - Towards a 'deep debate' on the Anthropocene T2 - The anthropocene debate and political science Y1 - 2019 SN - 978-0-8153-8614-8 SP - 237 EP - 251 PB - Routledge CY - London ER - TY - BOOK ED - Hickmann, Thomas ED - Partzsch, Lena ED - Pattberg, Philipp H. ED - Weiland, Sabine T1 - The anthropocene debate and political science T3 - Routledge research in global environmental governance N2 - Anthropocene has become an environmental buzzword. It denotes a new geological epoch that is human?dominated. As mounting scientific evidence reveals, humankind has fundamentally altered atmospheric, geological, hydrological, biospheric, and other Earth system processes to an extent that the risk of an irreversible system change emerges. Human societies must therefore change direction and navigate away from critical tipping points in the various ecosystems of our planet. This hypothesis has kicked off a debate not only on the geoscientific definition of the Anthropocene era, but increasingly also in the social sciences. However, the specific contribution of the social sciences disciplines and in particular that of political science still needs to be fully established. This edited volume analyzes, from a political science perspective, the wider social dynamics underlying the ecological and geological changes, as well as their implications for governance and politics in the Anthropocene. The focus is on two questions: (1) What is the contribution of political science to the Anthropocene debate, e.g. in terms of identified problems, answers, and solutions? (2) What are the conceptual and practical implications of the Anthropocene debate for the discipline of political science? Overall, this book contributes to the Anthropocene debate by providing novel theoretical and conceptual accounts of the Anthropocene, engaging with contemporary politics and policy-making in the Anthropocene, and offering a critical reflection on the Anthropocene debate as such. The volume will be of great interest to students and scholars of political science, global environmental politics and governance, and sustainable development. Y1 - 2019 SN - 978-0-8153-8614-8 SN - 978-1-351-17412-1 PB - Routledge CY - London ER -